What are the responsibilities and job description for the Financial Manager I - Treasury position at Spartanburg Regional Healthcare System?
Job Requirements
Lead the Future of Financial Excellence and Join Us as Our Next Financial Manager I – Treasury
Why Choose Spartanburg Regional Healthcare System
Spartanburg Regional Healthcare System is an innovative, community-focused healthcare organization that has proudly served the Upstate for more than 100 years. SRHS is known for operational strength, exceptional patient care, and a culture that supports teamwork, professional development, and continuous improvement. Team members thrive in an environment built on compassion, accountability, collaboration, and excellence.
When you join SRHS, you join a mission driven team committed to improving lives, strengthening community health, and advancing the future of healthcare through strong leadership and reliable financial stewardship.
Step Into a Leadership Role That Drives Systemwide Impact
Financial Manager I – Treasury
The Financial Manager I – Treasury oversees daily treasury operations across the healthcare system to ensure strong cash management, optimized liquidity, and effective financial controls. This role leads treasury staff, manages treasury technology and banking operations, and drives process improvements that promote accuracy, organization, and operational excellence. The manager also supports treasury related projects, contributes to technology modernization, and collaborates with internal and external financial partners. This position reports to the Director of Treasury.
What You Bring To The Table
Educational Background
Treasury Operations and Cash Management
If you are ready to lead impactful financial operations, strengthen treasury processes, and drive excellence across Spartanburg Regional Healthcare System, we encourage you to apply today. Your leadership will help support financial stability, operational reliability, and organizational success.
Lead the Future of Financial Excellence and Join Us as Our Next Financial Manager I – Treasury
Why Choose Spartanburg Regional Healthcare System
Spartanburg Regional Healthcare System is an innovative, community-focused healthcare organization that has proudly served the Upstate for more than 100 years. SRHS is known for operational strength, exceptional patient care, and a culture that supports teamwork, professional development, and continuous improvement. Team members thrive in an environment built on compassion, accountability, collaboration, and excellence.
When you join SRHS, you join a mission driven team committed to improving lives, strengthening community health, and advancing the future of healthcare through strong leadership and reliable financial stewardship.
Step Into a Leadership Role That Drives Systemwide Impact
Financial Manager I – Treasury
The Financial Manager I – Treasury oversees daily treasury operations across the healthcare system to ensure strong cash management, optimized liquidity, and effective financial controls. This role leads treasury staff, manages treasury technology and banking operations, and drives process improvements that promote accuracy, organization, and operational excellence. The manager also supports treasury related projects, contributes to technology modernization, and collaborates with internal and external financial partners. This position reports to the Director of Treasury.
What You Bring To The Table
Educational Background
- Bachelor’s degree in Finance, Accounting, Business Administration, or related field
- 5 years of treasury, banking, or cash management experience
- Experience leading teams and developing staff
- Strong organizational skills with the ability to manage multiple priorities
- Strong communication skills and experience working with internal and external stakeholders
- Demonstrated project management ability with exposure to cross functional initiatives
- Experience in a healthcare or multi entity organization
- Experience with tax exempt debt and post issuance compliance
- Experience using Treasury Management Systems
- Familiarity with Loomis SmartSafe, cash recyclers, or large scale cash automation solutions
- Experience managing relationships with multiple banks and financial institutions
- Working knowledge of EPIC cash management or enterprise revenue cycle integration
- Certification such as Certified Treasury Professional
Treasury Operations and Cash Management
- Oversees daily cash positioning, liquidity forecasting, and cash reconciliation across facilities and entities
- Manages enterprise cash processes including patient payments, deposits, and centralized treasury functions
- Optimizes use of Loomis SmartSafes, cash recyclers, and cash handling technology
- Researches, selects, and implements Treasury Management Systems to support automation and accuracy
- Maintains relationships with multiple banking partners to ensure quality service and competitive pricing
- Leads implementation and integration of treasury technology including TMS modules, banking portals, SmartSafe networks, and cash automation tools
- Oversees lockbox operations, ACH origination, merchant services, and controlled disbursement
- Partners with IT and Revenue Cycle to maintain accurate interfacing and reconciliation between EPIC cash management and treasury systems
- Oversees post issuance compliance for all tax exempt debt
- Maintains required documentation including private use analyses, arbitrage rebate calculations, and disclosure filings
- Coordinates with internal teams and external advisors to ensure proper use of bond financed assets
- Updates policies and procedures to support long term compliance and audit readiness
- Leads, mentors, and develops treasury team members
- Establishes performance goals, training plans, and professional development opportunities
- Promotes a culture of accountability, collaboration, and continuous improvement
- Leads treasury projects including technology upgrades, bank transitions, and automation initiatives
- Documents policies, process maps, and internal controls for audit support and operational consistency
- Identifies opportunities to streamline treasury workflows and improve efficiency across the system
- Ensures compliance with internal controls, applicable regulations, and systemwide financial policies
- Prepares treasury reports, dashboards, and forecasting tools for senior leadership
- Supports internal and external audits with documentation, analysis, and control testing
If you are ready to lead impactful financial operations, strengthen treasury processes, and drive excellence across Spartanburg Regional Healthcare System, we encourage you to apply today. Your leadership will help support financial stability, operational reliability, and organizational success.