Director, International Treasury

The Coca-Cola Company

Atlanta (GA)

On-site

USD 180,000 - 280,000

Full time

4 days ago
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Job summary

The Coca-Cola Company seeks a Director, International Treasury to lead global cash management, FX risk mitigation, and working capital optimization across a multinational network. You will drive governance and innovate treasury processes to support growth.

In this role, you will partner with Tax, Legal, M&A, and Finance on strategic transactions and build scalable treasury solutions, enabling efficient liquidity and resilience across the organization.

Qualifications

  • 4+ years in Corporate Treasury for a multinational; hands-on FX risk management experience required.
  • Strong knowledge of global banking frameworks and regulatory compliance.
  • Experience with treasury systems and working capital tools; ability to implement hedging strategies.

Responsibilities

  • Manage cross-border liquidity and cash movements in complex markets.
  • Anticipate and respond to FX volatility, sanctions, regulatory shifts, and liquidity challenges globally.
  • Optimize capital structures and lead enterprise-wide Working Capital improvement programs.
  • Partner with Tax, Legal, M&A, and Finance on strategic transactions and post-acquisition integration.
  • Drive automation and digital treasury solutions for reporting and governance.

Skills

FX risk management
Cross-border liquidity
Working capital optimization

Education

Finance/Economics/Accounting background
MBA or CTP preferred

Tools

Treasury systems
Working capital tools
Hedging practices

Job description

At The Coca-Cola Company, our International Treasury Services (ITS) team plays a critical role in managing liquidity, mitigating risk, and supporting business continuity across more than 300 entities worldwide. We are seeking a Director, International Treasury to lead global cash management strategies, FX risk mitigation, and working capital optimization, while enabling growth through disciplined financial governance and innovation.

What You'll Do
  • Manage cross-border liquidity and cash movements in complex markets.
  • Anticipate and respond to FX volatility, sanctions, regulatory shifts, and liquidity challenges globally.
  • Optimize capital structures and support enterprise-level Working Capital improvement programs (factoring, supply chain financing).
  • Partner with Tax, Legal, M&A, and Finance on strategic transactions and post-acquisition integration.
  • Drive automation and digital treasury solutions for reporting and governance.
What We're Looking For
  • 4+ years in Corporate Treasury for a multinational; hands-on FX risk management experience required.
  • Proven ability to navigate complex global banking frameworks and compliance requirements.
  • Strong knowledge of Treasury systems, working capital tools, and hedging practices.
  • Background in Finance, Economics, or Accounting; MBA or CTP preferred.
  • Agile and influential leader who thrives in high-stakes, fast-changing environments.

If you have global treasury experience, understand foreign exchange dynamics, and want to shape financial strategies for the world's most recognized brand—you'll love to connect!

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