As the Director of Treasury you will report directly to the Vice President of Treasury and Investor Relations within the Hanger Accounting and Finance Department.� In this critical role, you will lead the treasury and risk management teams and implement the cash management, insurance and treasury strategies.��as you oversee and set the strategy for project management initiatives and treasury operations including cash management and liquidity, debt management and compliance, interest hedging and risk management strategy, regulatory compliance, and other financial analysis and modeling.� You will additionally manage Hanger�s property and casualty, directors and officers, and other professional liability insurance programs.� As an impact player who ensures accuracy and accountabiility, you will serve as a representative to the banking community.� � Finally, you will enjoy the ability to combine your professional experience and academic preparation to: � - Lead, coach, and develop the treasury operations and risk management teams. - Provide subject matter expertise to the department and Company. - Proactively build and maintain cross-functional, multi-office relationships. - Drive treasury projects including acquisitions, divestitures, joint ventures, related integrations & diligence, accounts receivable and payable streamlining, bank structure analysis, and additional financial analysis and modeling. - Oversee Hanger�s liquidity position, including planning and execution of investment and borrowing strategies. - Direct all debt management reporting, debt compliance and repayment analyses including credit facility and corporate covenant management. - Oversee the Hanger�s insurance and risk management programs, which includes the structuring and renewal of its property and casualty, directors and officers, workers compensation and professional liability insurance. - Manage Hanger�s captive insurance company. - Evaluate processes and identify opportunities to upgrade and/or leverage systems. - Assess interest rate risk and implements appropriate hedging programs and strategies. - Maintain and cultivates bank relationships. - Evaluate and develop policies, procedures, and controls as part of departmental continuous improvement efforts. - Work with other corporate finance functions (accounting, audit, legal) to ensure accurate and timely accounting for matters related to cash, investments, debt and inter-company activity. - Drive, manage, and/or participate in initiatives and special projects related to all areas of Treasury.