Corden Pharma - A Full-Service CDMO · 15 hours ago
Manager, Tax, Treasury and Risk
Corden Pharma is a leading full-service Contract Development and Manufacturing Organization (CDMO) specializing in active pharmaceutical ingredients and drug products. The Tax, Treasury & Risk Manager is responsible for overseeing treasury operations, tax compliance coordination, lease accounting, and insurance administration for the site, ensuring disciplined cash execution and compliance with corporate policies.
BiotechnologyManufacturingPharmaceutical
Responsibilities
Oversee site-level treasury operations, ensuring disciplined cash execution in accordance with corporate treasury policies
Partner with Finance Controller to develop, monitor, and validate short- and long-term liquidity forecasts, providing clear visibility into funding requirements and cash risks
Partner with the Finance Controller to coordinate funding timing, optimize cash positioning, and manage line-of-credit utilization in accordance with Corporate Treasury guidance
Provide dedicated cash management oversight for strategic construction projects aligned with Engineering and Steering Committee governance frameworks, ensuring alignment between approved CARs, project milestones, and cash requirements
Partner with Finance Controller and Strategic Projects’ Director to manage funding timing, reimbursements, and capital cash flows, ensuring accurate forecasting, control, and reporting of capital spend
Ensure capital cash flows are fully integrated into site liquidity planning and long-range funding projections
Coordinate site-level tax compliance activities in partnership with external Tax Advisors and Corporate Tax Team
Ensure timely, accurate, and compliant tax filings, while supporting tax audits, inquiries, and documentation requirements
Monitor tax-related cash impacts and incorporate them into liquidity and funding forecasts
Oversee site lease accounting in accordance with IFRS 16/ASC 842, including identification, classification, and ongoing administration of lease arrangements
Ensure accurate accounting, reconciliation, and reporting of leased assets and liabilities in alignment with corporate accounting policies
Partner with Legal, Operations, and Corporate Accounting to maintain complete and accurate lease documentation
Lead site level insurance management in partnership with Human Resources and Safety, Health, & Environmental (SHE) Teams
Coordinate annual insurance renewals, assess coverage adequacy, and ensure alignment with site risk profiles and corporate standards
Oversee insurance claims management, including coordination with insurers, brokers, and internal stakeholders
Maintain ongoing engagement with insurance brokers and corporate risk teams to support effective risk mitigation strategies
Ensure alignment with corporate policies, accounting standards, and regulatory requirements across treasury, tax, leasing, insurance, and capital cash management activities
Proactively identify, assess, and mitigate financial, operational, and compliance risks, escalating issues as appropriate
Provides guidance and leadership for Tax, Treasury, and Risk. Participates in the expense budget process by developing, tracking, and reporting data related to teams and projects
Qualification
Required
Bachelor's Degree in Finance, Accounting, Economics, or a related field
Five years of progressive experience in treasury, tax, accounting, or finance operations roles within a manufacturing or capital-intensive environment
Demonstrated experience with liquidity forecasting, cash management, and treasury operations
Hands-on experience supporting large-scale capital projects, including cash forecasting, funding coordination, and WIP/capital spend oversight
Working knowledge of lease accounting standards (IFRS 16/ASC 842) and their operational application
Experience coordinating tax compliance activities and working with Corporate Tax teams and external advisors
Exposure to insurance administration, renewals, and claims management in an industrial or regulated environment
Ability to read and comprehend simple instructions, short correspondence, and memos
Ability to write simple correspondence
Ability to effectively present information in one-on-one and small group situations to customers, clients, and other employees of the organization
Ability to add, subtract, multiply, and divide in all units of measure, using whole numbers, common fractions, and decimals
Ability to compute rate, ratio, and percent and to draw and interpret bar graphs
Ability to apply common sense understanding to carry out instructions furnished in written, oral, or diagram form
Ability to deal with problems involving several concrete variables in standardized situations
Proven ability to partner effectively with cross-functional teams, including Engineering, PMO, Operations, Legal, HR, and Corporate Finance
Strong organizational, communication, and stakeholder management skills
Ability to operate effectively in a fast-paced, regulated, and matrixed organization
Hands-on experience with an ERP (Enterprise Resource Planning) Mainframe System (i.e., SAP, JD Edward, Oracle)
PC skills are required, including extensive spreadsheet knowledge and Microsoft Office experience required, specifically Excel, Power Point, and Word
Ability to work independently and as a team member
Preferred
CTP, CFA, or CMA Certification preferred
Benefits
401(k) matching - Corden Pharma will contribute 100% of the first 6% - 100% vested after 2 years of service
Accident Plan
Critical Illness Insurance
Dental Insurance
Disability Insurance
Employee Assistance Program
Flexible Spending Account
Health Insurance PPO/HSA
Hospital Indemnity Plan
ID Theft Protection
Life Insurance
Paid Parental Leave
Tuition Reimbursement
Wellness Program
Vacation – Three Weeks 1st Year
Vision Insurance
Company
Corden Pharma - A Full-Service CDMO
CordenPharma is your full-service partner in the Contract Development & Manufacturing (CDMO) of APIs, Lipid Excipients, Drug Products and Packaging.
Funding
Current Stage
Late StageTotal Funding
unknown2022-05-02Acquired
Recent News
2025-09-23
Company data provided by crunchbase