Treasury Analyst

SALT Dental PartnersFranklin, TN
38d

About The Position

Join SALT Dental Partners and be part of a dynamic team dedicated to revolutionizing the dental industry through innovative marketing strategies and exceptional patient experiences. Since our doors opened in 2019, our mission has been to help specialty dental providers grow their practices. SALT is creating a vast network of like-minded dental specialists throughout the country. At SALT, we provide comprehensive support services, allowing dental specialists to focus on delivering exceptional care. Position Summary The Treasury Analyst will play a key role in SALT’s treasury transformation as the organization transitions from legacy practice-level banking to a centralized banking platform. Reporting directly to the Director of Treasury, this role will focus on daily cash management, reporting, and supporting strategic treasury initiatives that improve liquidity visibility and control. This position will partner closely with Finance, Accounting, M&A, RCM, and Integration teams to ensure robust, forward-looking financial stewardship and capital discipline as SALT continues its national growth. The ideal candidate is detail-oriented, highly organized, and comfortable working across multiple teams and systems in a fast-paced, growing organization.

Requirements

  • Bachelor’s degree in finance, Accounting, or related field; CTP certification preferred.
  • 3+ years of progressive treasury experience in a multi-entity, multi-bank environment.
  • Strong understanding of cash flow modeling, treasury systems, banking products, debt structures, and risk management.
  • Excellent communication, attention to detail, and ability to meet deadlines in a dynamic environment.

Nice To Haves

  • Experience in healthcare, dental, or other multi-site business environments.
  • Experience operating in a private equity-backed or growth-stage company.
  • Exposure to ERP systems (e.g., Sage Intacct) and online banking portals.
  • Familiarity with merchant processing and cash forecasting workflows.

Responsibilities

  • Lead day-to-day cash positioning, cash concentration, and reporting.
  • Assist with ongoing liquidity planning, cash flow forecasting, and working capital optimization across all entities and bank accounts.
  • Ensure sufficient liquidity to support operations, capital investments, and acquisitions.
  • Maintain treasury systems, policies, and internal controls for accuracy, security, and compliance.
  • Manage electronic funds transfers (ACH, wires), disbursements, and treasury-related audits or compliance reporting.
  • Contribute to integration of acquired entities from a treasury and banking standpoint.
  • Support the migration of all practice-level accounts to single banking platforms, including account setup, documentation, and closure of legacy accounts.
  • Collaborate with RCM, Migrations and Operations teams to consolidate legacy merchant processors into a unified platform (e.g., Stripe / Planet DDS Pay).
  • Assist in building and refining short-term and long-term cash forecasting models by integrating banking data, ERP outputs, and operational insights.

Benefits

  • Competitive salary and performance-based incentives
  • Comprehensive benefits package (medical, dental, vision)
  • Opportunities for professional development and growth
  • Flexible work environment with multi-site travel
  • SALT Dental Partners offers a competitive salary and benefits package, including health insurance, retirement plan, and paid time off in order to attract, develop, and retain our employees.
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