Director, Treasury
Guardian PharmacyAbout the role
Extraordinary Care. Extraordinary Careers.
With one of the nation’s largest, most innovative long-term care pharmacy services providers, there is no limit to the growth of your career.
Our unique business model combines the personal touch of locally operated pharmacies with the robust support of our Atlanta-based corporate team, ensuring best-in-class pharmacy care for our customers.
Why Guardian Pharmacy? We’re reimagining medication management and transforming care.
Who We Are and What We’re About:
Our core focus is delivering customized medication management solutions to support healthcare organizations serving seniors and individuals with complex care needs. With our comprehensive suite of tech-enabled pharmacy services and a dedicated team of professionals committed to enriching the lives of those we serve, we are redefining how pharmacy care is delivered.
We offer an opportunity to learn and grow your career in a fast-paced, diverse, and inclusive environment. If you are looking for a challenging, team-oriented environment in which you can put your expertise to work, then this is the place for you.
About the Role
Guardian Pharmacy is seeking a strategic and hands-on Director of Treasury to lead our treasury operations and support the financial strength of a rapidly growing, multi-location pharmacy organization.
In this role, you will oversee all aspects of treasury management, including cash management, liquidity planning, banking relationships, and payment operations. You will play a critical role in ensuring the organization maintains strong financial visibility and an optimal liquidity position while supporting the operational needs of our pharmacies across the country.
Working closely with Finance leadership and cross-functional partners, the Director of Treasury will enhance forecasting capabilities, strengthen treasury systems and processes, and drive operational efficiencies across the treasury function. You will also partner with external banking institutions and service providers to ensure strong financial controls and seamless service delivery.
This is an opportunity for a collaborative leader who enjoys building processes, strengthening financial infrastructure, and helping an organization scale with confidence.
What You’ll Do
- Lead the organization’s daily cash management activities, including monitoring cash flow, managing liquidity, and maintaining appropriate short-term funding resources.
- Develop and refine cash forecasting models (daily, weekly, and long-term) to support financial planning and strategic decision-making.
- Oversee treasury operations related to incoming receipts, payment processing, and cash reconciliation.
- Manage and strengthen banking relationships, ensuring the organization is maximizing available tools, services, and efficiencies.
- Identify and implement opportunities to streamline treasury processes through improved workflows, automation, and technology solutions.
- Partner closely with Accounting, FP&A, and operational leadership to ensure alignment between treasury operations and broader financial strategy.
- Oversee treasury systems and financial tools to support accurate reporting and efficient operations.
- Maintain strong internal controls and compliance with financial policies and procedures.
- Lead and develop members of the treasury team through coaching, mentorship, and clear performance goals.
- Manage relationships with third-party vendors and service providers supporting treasury operations.
What You Bring
- Bachelor’s degree in Finance, Accounting, or a related field.
- 10+ years of treasury, finance, or financial operations experience.
- Prior experience leading or managing treasury or finance teams.
- Strong background in cash forecasting, liquidity planning, and high-volume financial transaction environments.
- Experience working with banking partners and treasury systems to improve operational efficiency.
Attributes for Success
- Work Ethic & Integrity – Demonstrates accountability, ownership, and alignment with organizational values.
- Leadership – Builds, develops, and motivates teams while promoting collaboration and continuous improvement.
- Relational – Establishes trusted partnerships with finance leadership, banking partners, and cross-functional stakeholders.
- Strategic Thinking – Anticipates future business needs and aligns treasury strategy with organizational growth.
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