Title: Treasury Manager
Our client, a PE owned, Atlanta based company is looking for a Treasury Manager.
- 8-10 years of experience
- Assist with overseeing cash forecasting process, Letters of credit etc.
- Need hands on experience and someone strong enough to easily step in and add value quickly. Need a collaborative person that is used to working in team environments and getting involved in various projects.
- Must have experience with international global treasury operations, many locations, heavy intercompany transactions/cross border loans
- Systems/Reporting/Solutions savvy is one core competency– Excel VBA, Dashboards, Treasury Management Solutions (TMS)
- Strong SOX/controls background
- CTP and/or CPA strong preference
- Integration of banking relationships and accounts
- Intercompany treasury & banking controls
- Excellent communication & written skills required
- Experience with international banking ops a plus.
- FX & hedging experience a plus
- Experience with Global Insurance Programs/Risk Management is a plus