Senior Treasury Analyst

Brewer Morris

Atlanta (GA)

On-site

USD 85,000 - 110,000

Full time

32 hours ago
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Job summary

Brewer Morris is seeking a Senior Treasury Analyst to support treasury operations for the Americas division. You will work closely with senior stakeholders to influence liquidity strategy, risk management, and operational efficiency.

The role provides exposure to liquidity management, treasury programs, and cross-functional initiatives within a global manufacturer. Candidates should have 3–5 years in treasury-related roles and strong Excel/Microsoft 365 skills.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business Administration or related field (CTP preferred)
  • 3-5 years in treasury, cash management, or corporate finance
  • Strong cash flow understanding and internal controls
  • Advanced Excel and Microsoft 365 skills
  • Analytical mindset with attention to detail in fast-paced settings
  • Project/implementations experience a plus (TMS, SAP, etc.)

Responsibilities

  • Oversee daily cash positioning, funding, and liquidity management across business units
  • Execute treasury operations including payments, banking activity, and short-term financing
  • Support risk management efforts including FX exposure, hedging, and compliance controls
  • Deliver timely reporting and analysis on cash, debt, and investments to leadership
  • Drive process improvements and treasury-related system enhancements and integrations

Skills

Cash management
Analytical mindset
Attention to detail
Fast-paced environment

Education

Bachelor's degree in Finance/Accounting/Business Administration

Tools

Excel
Microsoft 365
TMS
SAP

Job description

I'm partnered with a complex, global, multi-entity manufacturer on a new Senior Treasury Analyst addition to the team, to support core treasury operations for their Americas division. This role offers strong exposure to senior stakeholders and the opportunity to influence liquidity strategy, financial risk management, and operational efficiency.

What You'll Be Doing

  • Oversee daily cash positioning, funding, and liquidity management across multiple business units
  • Execute treasury operations, including payments, banking activity, and short-term financing programs
  • Support risk management efforts, including FX exposure, hedging activities, and compliance controls
  • Deliver timely reporting and analysis on cash, debt, and investment performance to leadership
  • Drive process improvements, systems enhancements, and support treasury-related projects and integrations

What They're Looking For

  • Bachelor's degree in Finance, Accounting, Business Administration, or related field (CTP preferred)
  • 3-5 years of experience in treasury, cash management, and/or corporate finance
  • Strong understanding of cash flow, treasury operations, and financial controls
  • Advanced Excel skills with proficiency in Microsoft 365 tools
  • Analytical mindset with strong attention to detail and ability to operate in a fast-paced environment
  • Project, implementations experience is a plus (TMS, SAP, etc.)

What They're Offering

  • Capital Markets exposure! Company goes through heavy acquisitions
  • Treasury transformation exposure - chance to be part of ground level, exciting work with new TMS implementation
  • Cross-functional growth paths into other business lines, teams
  • Competitive compensation and benefits package!
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