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Remote Treasury Manager - Ophthalmology
$133k-170k (estimate)
Full Time 3 Weeks Ago
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Vision Integrated Partners is Hiring a Remote Remote Treasury Manager - Ophthalmology

Vision Integrated Partners is seeking an experienced Remote Financial Treasury Manager to join our financial team. Reporting to the Chief Financial Officer, the Financial Treasury Manager is responsible for the timely and accurate preparation of financial accounting data, financial audit, and tax preparation for our numerous ophthalmology medical practices. Collaboration is key, and it is essential that the successful candidate bring a solid understanding of GAAP, as well as excellent communication, analytical, organizational, and teamwork skills.

We understand the importance of work-life balance and want our team members to thrive personally and professionally. In addition to a rewarding career, we offer a comprehensive wellness package that includes exciting benefits such as:

  • Competitive Pay: Salary range $110,000-$130,000 DOE.
  • Excellent health insurance benefits
  • Generous 401k matching program with immediate 100% vesting
  • Paid time off with immediate accrual
  • Paid holidays available on day one
  • Free counseling and support services
  • Employee Perk Package

Responsibilities

  • Financial audits for ophthalmology practices.
  • Assisting in timely and accurate tax preparation and tax project management.
  • Banking management and cash handling
  • Financial forecast and cash flow monitoring
  • Monitoring audits for each ambulatory surgery centers and medical practices
  • Create processes to aid financial budgets, metrics, and cost reduction.
  • Assist with the month end close process in a timely manner, including, but not limited to: journal entries, reconciliations, and financial statements.
  • Create processes in Excel or API connections.
  • Assist with and accurately calculate compensation for all physicians in all practices.
  • Complete bank reconciliations for all bank accounts in all entities.
  • Complete assigned Balance Sheet account reconciliations.
  • Maintain efficient processes and procedures and recommend process improvements.
  • Complete monthly allocations for expenses and write the journal entries to allocate the expenses to all of the entities.
  • Maintain intercompany transactions and accounts.
  • Maintain accurate, complete and timely records of business transactions and financial data.
  • Prepare and maintain tax schedules and other support for third party accountant.
  • Build relationships with Business Unit Leaders and participate in monthly financial calls.
  • Assist with special projects as assigned.

Requirements

Requirements include, but not limited to:

  • 5 years treasury experience.
  • Thorough understanding of medical billing.
  • Working knowledge of sales and use tax guidelines; understanding of personal property tax laws.
  • Excellent communication (written and verbal), analytical, and interpersonal skills.
  • Experience with online reporting tools; Bill.Com and QuickBooks a plus.
  • Strong computer skills, including advanced Microsoft Excel.
  • Ability to handle multiple tasks under tight timelines.
  • High level of integrity and ethical standards.
  • Knowledge and understanding of US GAAP principles and internal control environments.
  • Experience creating and analyzing large amounts of data.
  • Experience with mergers and acquisitions a plus.

If you are seeking new adventures in patient care and have a passion for going above and beyond to ensure all our patients are given the best patient experience, then we want to hear from you... Please Apply!

#INDOTHER

Job Summary

JOB TYPE

Full Time

SALARY

$133k-170k (estimate)

POST DATE

05/23/2024

EXPIRATION DATE

06/09/2024

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