Altus Partners are retained by a leading healthcare company, backed by a prominent European private equity firm, that is seeking a Head of Corporate Finance and Treasury to oversee its global financial strategy. The role will focus on optimising the company’s capital structure, managing cash and liquidity, overseeing debt and foreign exchange risks, and supporting all M&A activity. As a key strategic partner to the CFO and private equity owners, you will drive value creation, ensuring financial stability and alignment with long-term growth objectives.
Corporate Finance & Treasury Management
Capital Structure & Debt Management
Ensure compliance with financial covenants and manage relationships with financial institutions.
Drive efficient capital allocation and support growth initiatives, including M&A and investment opportunities.
Cash & Liquidity Management
Oversee global cash flow and liquidity, ensuring adequate levels to meet operational and strategic needs. Risk Management
Implement hedging instruments and ensure compliance with regulatory requirements across multiple jurisdictions.
Private Equity & Stakeholder Engagement
Private Equity Relations
Act as the primary financial liaison with private equity stakeholders, providing detailed insights into liquidity, capital structure, and risk management.
Present financial reports to the Board and investors, aligning corporate finance strategies with private equity value creation goals.
Lead financial due diligence, valuation, and post-transaction integration for acquisitions, ensuring efficient capital structuring and risk management.
Lead and develop the corporate finance and treasury team, fostering a high-performance culture. Degree in Finance, Economics, Accounting, or related discipline; 7+ years’ experience in corporate finance and treasury, preferably in a private equity-backed company or healthcare sector.
~ Proven experience in cash management, capital markets, and foreign exchange in a multi-currency environment.
~ Strong leadership, risk management, and financial modelling skills. Proficiency with treasury management systems