Senior Treasury Manager (Atlanta) | Global Role Influencing the Business (US & Europe)

Treasury Career Corner (podcast host channel)
Treasury Career Corner (podcast host channel)Apr 7, 2026

Why It Matters

Integrating treasury into core strategic decisions elevates financial risk management and offers senior professionals a platform to shape global cash strategy, directly impacting corporate performance.

Key Takeaways

  • Role expands beyond cash ops to strategic business influence
  • Oversees liquidity, cash flow, and treasury for US and Europe
  • Directly partners with CFO, treasurer, and FP&A on decisions
  • Leads cash forecasting improvements and bank rationalization initiatives
  • Relocation support offered; ideal for senior managers seeking impact

Summary

The video introduces a senior treasury manager position based in Atlanta that commands responsibility for the United States and Europe, reporting directly to the treasurer and working alongside the CFO and FP&A teams.

The role goes beyond routine cash‑management tasks, encompassing full‑cycle liquidity, cash‑flow, and treasury operations. It tasks the incumbent with enhancing cash‑forecasting accuracy, improving cash visibility, and driving bank‑rationalization and process‑improvement projects across a complex, global manufacturing business.

Mike emphasizes that “Treasury gets a seat at the table,” highlighting the expectation to influence contract decisions and operational planning. He also notes that the company will provide relocation assistance for candidates willing to move to Atlanta.

For senior treasury professionals, the position offers a rare blend of operational depth and strategic influence, positioning the function as a business partner in a private‑backed, globally‑distributed firm—an opportunity that can accelerate career growth while strengthening the firm’s financial resilience.

Original Description

I’m thrilled to be helping one of my clients recruit a Senior Treasury Manager based in Atlanta, a leadership role that goes far beyond day-to-day cash management and reporting.
This position has real influence across the business, covering the US and Europe, leading a small international team, and owning liquidity, cashflow, and treasury operations end to end.
You’ll work closely with the Treasurer, CFO, FP&A, and business leaders to improve how Treasury interfaces with and supports the wider organization, including driving system and process enhancements.
A key deliverable is improving cash flow forecasting and cash visibility for a private equity - backed, global manufacturing business, where forecasting is grounded in real operational volatility like raw materials.
Bank rationalization and broader process improvements are also part of the remit, and relocation support is also available.
00:00 Role Overview
00:14 Leadership Scope
00:32 Business Partnering
00:52 Process Improvement
01:03 Forecasting Deliverables
01:20 Manufacturing Complexity
01:42 Treasury Seat at Table
02:16 Hybrid and Relocation
02:31 Who Should Apply
02:42 Next Steps

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