What are the responsibilities and job description for the Senior Manager, International Treasury Services position at The Coca-Cola Company?
At The Coca-Cola Company, financial stewardship is central to enabling growth across more than 200 countries where weoperate. TheInternational Treasury Services (ITS)team is a vital part of our globally integrated Treasury function, and acts as the single point of contact for 300 legal entities on banking, cash, capital structure, and financial risk matters.
AsInternational 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 roleprovidesa unique opportunity to develop deep marketexpertise, 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
WhatYou'llDo for Us
Manage Cash & Capital Flows:
OptimizeCash Resources:
Financial Risk Management:
M&A Transaction Support:
Governance & Compliance:
Build Market Insights:
Leverage Technology & Automation:
Collaborate Across the Enterprise:
Qualifications & Requirements
Core Skills
Time Management & Organization
Critical Thinking & Data Analysis
Effective Communication & Stakeholder Management
Risk Assessment & Mitigation
Digital Tool Fluency & Process Automation
Growth Behaviors
WhatWe'llDo for You
AsInternational 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 roleprovidesa unique opportunity to develop deep marketexpertise, 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
WhatYou'llDo for Us
Manage 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.
OptimizeCash Resources:
- Identifyopportunities for redeployment of excess cash across markets throughloans, pooling strategies, andoptimizedlocal investmentsthatmaintainliquidity 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 andDelegation of Authorityrequirements; provide recommendations on sensitive transactions to senior treasury leadership.
Build Market Insights:
- Monitor country-level financial, economic, and regulatory trends to proactivelyidentifypotential risks and opportunitiesimpactingtreasury 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 degreerequired(Finance, Economics, or Business preferred); advanced degree or financialcertifications(CTP, CFA, MBA)a plus.
- Experience:
- 4-5 years in finance roles within multinational or financial institutions.
- Minimum2-3 years in Corporate Treasury or Global Banking/Financial Markets.
- Technical Competencies:
- Expertiseincash 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 andoperatein 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.
WhatWe'llDo for You
- Global Perspective:Work on high-impact treasury initiatives across multiple markets and geographies.
- Skill Development:Gainexpertisein risk management, liquidity optimization, and corporate banking relationships.
- Cutting-EdgeTreasury Tools:Leverageadvanced technologies for governance, automation, and cash visibility.
- Empowered Culture:Operatein an environment that values curiosity, learning agility, and growth-oriented thinking.