Senior Treasury Analyst - Cash & FX Strategy (Flex Work)

Dolby Laboratories

Atlanta (GA)

On-site

USD 89,000 - 120,000

Full time

14 days+
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Job summary

Dolby Laboratories in the Atlanta area is seeking a Senior Treasury Analyst to join the Global Treasury team. The role will lead global cash management, daily cash positions, forecasting, and short-term investing to support liquidity and growth.

You will manage FX hedging programs, investment oversight, and reporting, coordinating with IT, A/P, A/R, Payroll, and bank providers while ensuring SEC filings are accurate and timely.

Qualifications

  • Bachelor's degree in finance or accounting and 5+ years treasury experience.
  • Strong analytical skills and macroeconomic understanding.
  • Knowledge of FASB and banking/treasury systems; SAP a plus.
  • Self-starter, independent, able to drive process improvements.
  • Excellent verbal, written, and presentation skills; cross-functional work.

Responsibilities

  • Lead global Treasury cash management operations, daily cash position, forecasting and short-term investing.
  • Lead cashflow metrics, trend analysis and treasury reporting.
  • Global bank accounts management incl. opening/closing, signatories, FBAR, KYC, online banking.
  • Manage Foreign Exchange programs: forecast, analyze and hedge exposures.
  • Lead monthly FX hedge committee meetings with upper management.
  • Execute wire transfers for Treasury transactions.
  • Oversee investment portfolio and monthly/quarterly reports.
  • Ensure accurate/timely reporting of Treasury activities for SEC filings.
  • Design, implement, and streamline treasury processes; assist with buyback.
  • Develop Treasury policies and procedures; liaise with bank providers and IT.

Skills

Analytical skills
Cross-functional collaboration
Independent work
Presentation skills
Verbal and written communication

Education

Bachelor's degree in business finance or accounting
MBA/CTP preferred

Tools

SAP
Bloomberg

Job description

Dolby Laboratories in the Atlanta area is seeking a Senior Treasury Analyst to join the Global Treasury team. The role will lead global cash management, daily cash positions, forecasting, and short-term investing to support liquidity and growth.

You will manage FX hedging programs, investment oversight, and reporting, coordinating with IT, A/P, A/R, Payroll, and bank providers while ensuring SEC filings are accurate and timely.

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