Senior Treasury Manager

Vaco by Highspring

Atlanta (GA)

On-site

USD 120,000 - 150,000

Full time

14 days+

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Job summary

A leading consumer-focused brand in Atlanta is seeking a Senior Treasury Manager to shape treasury strategy and optimize liquidity. You will lead cash forecasting and manage banking relationships while supporting the growth of the finance organization. The ideal candidate has over 7 years of experience in corporate treasury and excels in communication and leadership. This role offers significant impact within a rapidly growing organization, with a focus on enhancing treasury policies and systems.

Qualifications

  • 7+ years of progressive experience in corporate treasury, finance, or related roles.
  • Strong experience in cash flow forecasting, liquidity management, and banking relationships.
  • Background in a high-growth, multi-entity, or consumer-focused environment.

Responsibilities

  • Lead cash forecasting, liquidity planning, and working capital management.
  • Oversee banking relationships, credit facilities, and cash concentration structures.
  • Manage debt compliance, covenant reporting, and lender communications.
  • Partner on FX exposure, risk management, and hedging strategies.

Skills

Cash flow forecasting
Liquidity management
Banking relationships
Debt compliance
Communication skills

Education

Bachelor's degree in Finance, Accounting, or related field
MBA or CTP

Job description

We're partnering with a fast-growing, consumer-focused brand that's scaling rapidly and investing heavily in its finance organization. This is an exciting opportunity to step into a highly visible Senior Treasury Manager role where you'll help shape treasury strategy, optimize liquidity, and support continued growth across the organization.

If you enjoy building, improving, and influencing, opposed to just maintaining, this role offers real impact and leadership exposure.

Responsibilities
  • Lead cash forecasting, liquidity planning, and working capital management
  • Oversee banking relationships, credit facilities, and cash concentration structures
  • Manage debt compliance, covenant reporting, and lender communications
  • Partner on FX exposure, risk management, and hedging strategies as applicable
  • Enhance treasury policies, controls, and systems to support a scaling organization
Requirements
  • 7+ years of progressive experience in corporate treasury, finance, or related roles
  • Strong experience in cash flow forecasting, liquidity management, and banking relationships
  • Background in a high-growth, multi-entity, or consumer-focused environment highly preferred
  • Solid understanding of debt structures, covenant compliance, and treasury controls
  • Ability to operate strategically while remaining hands-on
  • Excellent communication skills with the ability to influence senior stakeholders
  • Bachelor's degree in Finance, Accounting, or related field (MBA or CTP a plus)
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