Senior Manager, Tax and Treasury @ iRhythm Technologies, Inc. | Jobright.ai
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iRhythm Technologies, Inc. · 1 day ago

Senior Manager, Tax and Treasury

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Health CareHealth Diagnostics

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Responsibilities

Coordinate and manage the preparation of federal, state, and international tax filings for the organization, ensuring timely and accurate tax returns and documentation. A combination of in-house and outsourced activities.
Develop and execute global tax strategies that optimize the company’s tax position including expansion into new jurisdictions, with a focus on minimizing liabilities and ensuring compliance with US and foreign tax law. Responsibilities also include support for M&A activities relating to taxation.
Lead transfer pricing initiatives and projects in the context of the company's growing business, and develop methodologies and policies to integrate transfer pricing tax requirements to guide the business in managing risk.
Coordinate and manage R&D credit study (internally and externally driven) to qualify for R&D tax credit.
Lead the preparation and filing of various indirect taxes, including sales & use, VAT, GST, property, franchise, business, and other relevant taxes.
Lead the preparation of quarterly and annual tax provisions in accordance with US GAAP ASC 740 (or relevant accounting standards), ensuring accurate reporting for SEC-filed financial statements.
Coordinate and manage the preparation of quarterly and annual income tax provisions in accordance with ASC 740 (or relevant accounting standards), ensuring accurate reporting for SEC filed financial statements.
Coordinate with external auditors and tax advisors to manage tax audits and disputes, providing necessary documentation and support to resolve issues efficiently. Establish and maintain internal controls over financial reporting (i.e., SOX 404) to ensure compliance with established policies and procedures.
Identify potential tax risks and opportunities for the business, ensuring that proper controls are in place and providing recommendations for risk mitigation.
Oversee day-to-day treasury operations, including managing company liquidity and bank relationships to optimize working capital. Assist and support in cash reporting and forecasting activities.
Manage the company’s debt structure, including planning, issuing, and servicing debt. Assist with the analysis and execution of capital raising strategies, including debt and equity transactions.
Maintain and optimize relationships with banking partners, including negotiating fees, services, and managing cash balances to ensure effective cash utilization.
Oversee the company’s investment strategies, including cash reserves and short-term and longer-term investments. Review quality of investments and provide routine reporting to senior leadership.
Ensure the accuracy of treasury reports and metrics, tracking all financial transactions related to treasury operations, debt, and investments.
Work closely with senior management, FP&A, accounting, legal, and business units to align tax and treasury activities with the company’s financial strategy and operational needs.
Stay abreast of changes in tax and financial regulations, ensuring company policies and practices are in compliance with all federal, state, and international laws.
Manage and mentor a team of tax and treasury professionals, providing guidance and fostering a collaborative and high-performance culture.

Qualification

Find out how your skills align with this job's requirements. If anything seems off, you can easily click on the tags to select or unselect skills to reflect your actual expertise.

Tax ComplianceTax PlanningTransfer PricingTax ProvisioningFinancial ReportingCash Flow ManagementR&D Tax CreditIndirect TaxesTax Risk ManagementDebt ManagementInvestment StrategiesRegulatory ComplianceMultinational Tax StrategiesInternational Tax ComputationsBanking RelationshipsMicrosoft Office SuiteTax Management SoftwareTreasury SystemsCapital Markets Knowledge

Required

Bachelor's degree in Accounting, Finance, Economics, or a related field.
8 to 10 years (10 to 12 years is preferred) experience in tax, with a combination of public and private.
Strong technical knowledge and practical experience with U.S. and international tax laws, financial regulations, and treasury management practices for a multinational corporation.
Experience with tax compliance and reporting for public companies, including tax provisions (ASC 740), SEC filings, and Sarbanes-Oxley requirements.
Proven track record of managing cash flow, liquidity, debt, and risk management in a complex corporate environment.
Strong leadership skills and the ability to work effectively with senior executives, external advisors, and cross-functional teams.
Excellent analytical, communication, and interpersonal skills. Sound judgment and ability to provide recommendations regarding policy and strategy.
Proficiency in Microsoft Office Suite (Excel, PowerPoint, Word) and experience with tax and treasury management software.

Preferred

CPA, CMA, CFA, or advanced degree (e.g., Master’s in Taxation or Finance) preferred.
Experience with multinational tax strategies, transfer pricing, and global tax compliance.
Practical experience with international tax computations such as GILTI, Subpart F, etc.
Experience in treasury systems, cash forecasting tools, enterprise resource planning (ERP) software.
Knowledge of debt financing, capital markets, and investor relations for publicly traded companies.

Benefits

Medical, dental, and vision insurances (all of which start on your first day)
Health savings account employer contributions (when enrolled in high deductible medical plan)
Cafeteria plan pre-taxed benefits (FSA, dependent care FSA, commute reimbursement accounts)
Travel reimbursement for medical care
Noncontributory basic life insurance & short/ long term disability
Emotional health support for you and your loved ones
Legal / financial / identity theft/ pet and child referral assistance
Paid parental leave
Paid holidays
Travel assistance for personal trips
PTO!
401(k) (with company match)
Employee Stock Purchase Plan
Pet insurance discount
Unlimited amount of Linked In Learning classes

Company

iRhythm Technologies, Inc.

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iRhythm is a leading digital health care company that creates trusted solutions that detect, predict, and prevent disease.

Funding

Current Stage
Public Company
Total Funding
$1.18B
Key Investors
BraidwellNovo HoldingsNorwest Venture Partners
2024-03-04Post Ipo Debt· $643.6M
2020-08-21Post Ipo Secondary· $220M
2019-09-11Post Ipo Equity· $115M

Leadership Team

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Allan Wilsker
Executive Vice President Information Technology and Customer Service
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M
Mark Day
Executive Vice President, Research & Development
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Company data provided by crunchbase
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