Job Description Summary: As
International Treasury Services, Senior Manager, you will manage cash movement strategies, support cross-border liquidity optimization, mitigate country-specific financial risks, and safeguard the Company's local and international operations. This role provides a unique opportunity to develop deep market expertise, influence global cash strategies, and deliver critical executional support for business continuity-while collaborating with global stakeholders, including Finance, Tax, Legal, and Corporate Development.
If you are a proactive finance professional who thrives on problem-solving, mastering diverse business models, and navigating regulatory complexity, this role offers an exceptional platform for global exposure and professional growth.
Location: Atlanta, GA
Role Type: Individual Contributor (No Direct Reports)
Work Model: Hybrid - 3 days onsite, 2 days virtual
What You'll Do for UsManage Cash & Capital Flows:- Coordinate cross-border cash movements and repatriation in collaboration with Tax, Legal, Accounting, and Capital Management teams.
- Partner with Corporate Treasury teams on global cash optimization aligned to enterprise liquidity goals.
Optimize Cash Resources: - Identify opportunities for redeployment of excess cash across markets through loans, pooling strategies, and optimized local investments that maintain liquidity while minimizing risk.
Financial Risk Management: - Assess and help mitigate risks in global operations related to FX exposure, interest rate volatility, capital controls, regulatory compliance, credit risk, and banking stability.
M&A Transaction Support: - Partner with International Treasury Services Directors on key aspects of deal execution, funding, and post-acquisition treasury integration.
Governance & Compliance: - Ensure strict adherence to Treasury governance and Delegation of Authority requirements; provide recommendations on sensitive transactions to senior treasury leadership.
Build Market Insights: - Monitor country-level financial, economic, and regulatory trends to proactively identify potential risks and opportunities impacting treasury operations.
Leverage Technology & Automation: - Utilize treasury systems to streamline governance for bank accounts, guarantees, banking relationships, and automation projects.
Collaborate Across the Enterprise: - Build relationships with global SME networks and cross-functional teams, applying insights to deliver scalable and practical solutions quickly.
Qualifications & Requirements - Education: Bachelor's degree required (Finance, Economics, or Business preferred); advanced degree or financial certifications (CTP, CFA, MBA) a plus.
- 4-5 years in finance roles within multinational or financial institutions.
- Minimum 2-3 years in Corporate Treasury or Global Banking/Financial Markets.
- Expertise in cash management, FX risk, working capital, and capital structure optimization.
- Familiarity with treasury systems, governance protocols, and banking platforms.
- Strong critical thinking, problem-solving, and process-orientation skills.
- Ability to manage multiple priorities and operate in a highly matrixed, global environment.
Core Skills Time Management & Organization
Critical Thinking & Data Analysis
Effective Communication & Stakeholder Management
Risk Assessment & Mitigation
Digital Tool Fluency & Process Automation
Growth Behaviors - Curious: Proactively seek understanding of complex treasury and market concepts.
- Empowered: Take ownership of learning, asking questions, and delivering solutions with confidence.
- Agile: Adapt and apply knowledge quickly to new financial environments and geographies.
- Inclusive: Champion collaboration across global networks and cross-functional teams.
What We'll Do for You - Global Perspective: Work on high-impact treasury initiatives across multiple markets and geographies.
- Skill Development: Gain expertise in risk management, liquidity optimization, and corporate banking relationships.
- Cutting-Edge Treasury Tools: Leverage advanced technologies for governance, automation, and cash visibility.
- Empowered Culture: Operate in an environment that values curiosity, learning agility, and growth-oriented thinking.
The Coca-Cola Company will not offer sponsorship for employment status (including, but not limited to, H1-B visa status and other employment-based nonimmigrant visas) for this position. Accordingly, all applicants must be currently authorized to work in the United States on a full-time basis and must not require The Coca-Cola Company's sponsorship to continue to work legally in the United States.
Skills:Capital Structure, Cash Flow Analysis, Cash Management, Corporate Treasury, Cross-Border Transactions, Foreign Exchange Risk Management, Liquidity Management, Treasury Management, Treasury Management Systems, Treasury Risk Management, Working Capital
Pay Range:United States: 123,000 - 139,000 USD
Base pay offered may vary depending on geography, job-related knowledge, skills, and experience. A full range of medical, financial, and/or other benefits, dependent on the position, is offered.
Annual Incentive Reference Value Percentage:15
Annual Incentive reference value is a market-based competitive value for your role. It falls in the middle of the range for your role, indicating performance at target.
Location(s):United States of America
City/Cities:Atlanta
Travel Required:00% - 25%
Relocation Provided:No
Job Posting End Date:September 11, 2026