Senior Treasury Manager (Global)
Location: Atlanta | Hybrid Working
Are you ready to step into a high-impact global treasury leadership role where your work directly shapes business performance?
We’re partnering with a fast-growing, private equity-backed international business looking for a Senior Treasury Manager to take ownership of liquidity, cash flow, and treasury operations across the U.S. and Europe.
This is more than a traditional treasury role. It’s an opportunity to build, influence, and elevate how treasury supports a complex, evolving organisation.
Why This Role?
This is a rare chance to combine hands-on treasury ownership with strategic exposure:
- Lead treasury across multiple regions and currencies
- Work directly with senior leadership, including the CFO
- Play a key role in cash strategy, forecasting, and capital discipline
- Gain exposure to debt, refinancing, and capital structure decisions
- Help shape and scale a global treasury function
If you’re looking for a role where you can make tangible improvements and see the impact of your work, this is it.
What You’ll Be Doing
You’ll take full ownership of treasury performance while driving improvements across the function:
Liquidity & Cash Flow
- Lead and enhance global cash forecasting
- Improve visibility, accuracy, and insight for leadership
- Identify risks and optimise funding strategies
Business Partnering
- Collaborate with Finance and Operations to strengthen forecasting
- Provide clear, actionable insights that influence decision-making
- Embed stronger cash and cost discipline across the business
Debt & Capital Structure
- Support refinancing activity and debt management
- Ensure compliance and maintain strong lender relationships
- Contribute to broader strategic finance initiatives
Operations & Transformation
- Oversee global cash, banking, and payments
- Improve systems, automation, and processes
- Drive initiatives like cash centralisation and bank rationalisation
Leadership
- Lead and develop an international team
- Bring structure, clarity, and consistency to treasury operations
- Operate effectively in a fast-moving, complex environment
What We’re Looking For
You’re an experienced treasury professional who wants more scope, more visibility, and more influence.
- Strong background in cash management and forecasting
- Experience operating in complex or fast-paced environments
- Confidence working across regions, stakeholders, and senior leadership
- Exposure to debt, funding structures, or leveraged environments is a plus
- Proven ability to lead, improve, and challenge the status quo
Most importantly, you’re someone who doesn’t just report the numbers – you improve them.
If you’re ready to step into a role where you can lead, shape, and elevate treasury on a global stage, we’d love to hear from you.
