1

International Treasury Management Jobs (NOW HIRING)

Perform the daily cash management duties for Corporate Treasury (U.S. and International) including account reconciliation, cash positioning and periodic reporting. * Transact U.S. commercial paper ...

International treasury experience. Multi-currency cash management, cross-border funding, FX ... exposure management, and standing up in-country bank account structures * Industry and systems ...

International treasury experience. Multi-currency cash management, cross-border funding, FX ... exposure management, and standing up in-country bank account structures * Industry and systems ...

Vitamix is seeking a Treasury Manager who will be responsible for the strategic oversight and ... Management Systems. * Oversees the internal control environment for all domestic and international ...

Vitamix is seeking a Treasury Manager who will be responsible for the strategic oversight and ... Management Systems. * Oversees the internal control environment for all domestic and international ...

What You'll Do Cash Management & Liquidity Forecasting * Manage daily domestic and international ... Experience with treasury management systems (e.g., Kyriba, GTreasury, or similar) and strong Excel ...

Showing results 21-40

International Treasury Management information

See salary details

$50K

$100.5K

$148.5K

How much do international treasury management jobs pay per year?

As of Sep 15, 2026, the average yearly pay for international treasury management in the United States is $100,538.00, according to ZipRecruiter salary data. Most workers in this role earn between $82,500.00 and $119,000.00 per year, depending on experience, location, and employer.

What is international treasury management?

International treasury management refers to the process of overseeing and optimizing a company's financial assets, liabilities, and cash flows across multiple countries and currencies. It involves managing foreign exchange risk, ensuring efficient cross-border payments, and maintaining liquidity in various markets. Professionals in this field also handle regulatory compliance and work to minimize costs and risks associated with international operations.

What are the key skills and qualifications needed to thrive as an international treasury manager?

To thrive as an International Treasury Manager, you need strong financial analysis skills, knowledge of global cash management, and typically a degree in finance, accounting, or a related field. Familiarity with treasury management systems, international banking platforms, and certifications such as CTP (Certified Treasury Professional) are common requirements. Exceptional problem-solving, cross-cultural communication, and attention to detail set top performers apart. These skills are crucial for effectively managing global liquidity, mitigating financial risks, and ensuring regulatory compliance across multiple jurisdictions.

What are some common challenges faced in international treasury management roles, and how can professionals prepare for them?

Professionals in International Treasury Management often encounter challenges such as managing currency risk, navigating complex global regulations, and coordinating cash flow across multiple time zones. To succeed, it’s important to stay updated on regulatory changes, develop strong analytical skills, and foster collaborative relationships with colleagues in different regions. Proactively leveraging technology for real-time reporting and communication can also help address these challenges and streamline international operations.

What is the difference between International Treasury Management vs Corporate Treasury Analyst?

AspectInternational Treasury ManagementCorporate Treasury Analyst
Primary FocusManaging global cash, foreign exchange, and international banking relationshipsAnalyzing corporate cash flows, investments, and financial risks
Required CredentialsFinance, accounting, or related certifications; often requires international finance knowledgeFinance or accounting degree; certifications like CFA are common
Work EnvironmentGlobal offices, multinational corporations, banksCorporate headquarters or regional offices
Employer & IndustryMultinational companies, banks, financial institutionsCorporations across various industries

International Treasury Management involves overseeing global financial operations, currency risk, and banking relationships, while Corporate Treasury Analysts focus on analyzing cash flows and financial data within a company. Both roles require finance credentials and often work in multinational or corporate environments, but their scope and responsibilities differ significantly.

More about International Treasury Management jobs
Infographic showing various International Treasury Management job openings in the United States as of September 2026, with employment types broken down into 1% As Needed, 83% Full Time, 14% Part Time, and 2% Contract. Highlights an 82% Physical, 2% Hybrid, and 16% Remote job distribution, with an average salary of $100,538 per year, or $48.3 per hour.

Senior Manager, International Treasury Services

Atlanta, GA • On-site

Coca Cola
Food Services and Drinking Places • 10K+ employees

Full-time

Posted 12 days ago


Coca-Cola rating

7.5

Company rating: 7.5 out of 10

Based on 445 frontline employees who took The Breakroom Quiz


Job description

At The Coca-Cola Company, financial stewardship is central to enabling growth across more than 200 countries where we operate. The International 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.

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 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.

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.
  • Experience:
  • 4-5 years in finance roles within multinational or financial institutions.
  • Minimum 2-3 years in Corporate Treasury or Global Banking/Financial Markets.
  • Technical Competencies:
  • 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.

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

Our Purpose and Growth Culture:

We are taking deliberate action to nurture an inclusive culture that is grounded in our company purpose, to refresh the world and make a difference. We act with a growth mindset, take an expansive approach to what's possible and believe in continuous learning to improve our business and ourselves. We focus on four key behaviors - curious, empowered, inclusive and agile - and value how we work as much as what we achieve. We believe that our culture is one of the reasons our company continues to thrive after 130+ years. Visit Our Purpose and Vision to learn more about these behaviors and how you can bring them to life in your next role at Coca-Cola.

We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state or local protected class. When we collect your personal information as part of a job application or offer of employment, we do so in accordance with industry standards and best practices and in compliance with applicable privacy laws.


What Coca-Cola employees say

Pay

Benefits

Hours and flexibility

Workplace

Get the full story on Breakroom


Coca-Cola logo

About Coca-Cola

Sourced by ZipRecruiter

On May 8, 1886, Dr. John Pemberton brought his perfected syrup to Jacobs' Pharmacy in downtown Atlanta where the first glass of Coca‑Cola was poured. From that one iconic drink, we’ve evolved into a total beverage company. More than 2.2 billion servings of our drinks are enjoyed in more than 200 countries and territories each day. We are constantly transforming our portfolio, from reducing added sugar in our drinks to bringing innovative new products to market. We seek to positively impact people’s lives, communities and the planet through water replenishment, packaging recycling, sustainable sourcing practices and carbon emissions reductions across our value chain. Together with our bottling partners, we employ more than 700,000 people, helping bring economic opportunity to local communities worldwide. We are committed to offering people more of the drinks they want across a range of categories and sizes while driving sustainable solutions that build resilience into our business and create positive change for the planet.

Industry

Food services and drinking places and food and drink manufacturing

Company size

10,000+ Employees

Headquarters location

Atlanta, GA, US