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Liquidity Risk Management Jobs in Georgia (NOW HIRING)

Key Responsibilities Global Cash & Liquidity Management * Manage daily and strategic oversight of ... Risk Management * Identify, quantify, and manage FX transaction and translational exposures

Trust Investment Manager

Atlanta, GA · On-site

$144 - $176/hr

Strong understanding of asset allocation, investment policy, portfolio review, risk management, performance review, liquidity needs, and client objectives * Ability to explain investment topics ...

New

This individual will work cross-functionally with Accounting, FP&A, Tax, and business unit finance teams to ensure efficient management of the company's liquidity, funding, and financial risk ...

The team works closely with portfolio managers, the Global Liquidity Research Committee, risk partners, and other internal stakeholders to evaluate current and potential investments. The team is ...

The team works closely with portfolio managers, the Global Liquidity Research Committee, risk partners, and other internal stakeholders to evaluate current and potential investments. The team is ...

Showing results 41-60

Liquidity Risk Management information

What does a liquidity risk management do?

Liquidity risk management involves identifying, monitoring, and controlling the risk that an organization may not have sufficient liquid assets to meet its short-term obligations. Professionals in this field analyze cash flow, develop strategies to ensure liquidity, and use tools like stress testing to prepare for potential funding shortages. Strong analytical skills and knowledge of financial regulations are essential for effective liquidity risk management.

What are the typical daily responsibilities of someone working in liquidity risk management?

Professionals in Liquidity Risk Management are responsible for monitoring daily cash flows, analyzing liquidity positions, and assessing how market events could impact an organization's ability to meet its financial obligations. They frequently work with teams across treasury, finance, and risk departments to develop stress-testing scenarios, create liquidity reports, and recommend strategies to mitigate potential liquidity shortfalls. Additionally, they stay updated on evolving regulatory requirements to ensure compliance. The role involves both routine oversight and responding quickly to any emerging liquidity risks.

What is liquidity risk management?

A Liquidity Risk Management job involves identifying, assessing, and mitigating risks related to a company's ability to meet short-term financial obligations. Professionals in this role monitor cash flows, liquidity ratios, and market conditions to ensure sufficient funding is available. They develop strategies to manage liquidity risk, such as stress testing, contingency planning, and optimizing cash reserves. Their work is crucial in preventing financial crises and maintaining regulatory compliance.

What are the key skills and qualifications needed to thrive in liquidity risk management, and why are they important?

To thrive in Liquidity Risk Management, professionals typically need strong analytical skills, knowledge of financial markets, and a degree in finance, economics, or a related field. Familiarity with risk assessment software, financial modeling tools (like Excel, VBA, or Python), and certifications such as FRM or CFA are often advantageous. Excellent problem-solving abilities, communication skills, and attention to detail help individuals effectively interpret complex data and convey findings to stakeholders. These skills and qualities are vital to ensure an organization maintains adequate liquidity, manages risk, and complies with regulatory requirements.

What are the most commonly searched types of Liquidity Risk Management jobs in Georgia? The most popular types of Liquidity Risk Management jobs in Georgia are:
What are popular job titles related to Liquidity Risk Management jobs in Georgia? For Liquidity Risk Management jobs in Georgia, the most frequently searched job titles are:
What job categories do people searching Liquidity Risk Management jobs in Georgia look for? The top searched job categories for Liquidity Risk Management jobs in Georgia are:
Infographic showing various Liquidity Risk Management job openings in Georgia as of August 2026, with employment types broken down into 1% As Needed, 83% Full Time, 13% Part Time, and 3% Contract. Highlights an 87% Physical, 3% Hybrid, and 10% Remote job distribution.

Treasury Manager, Global

Arclin USA LLC

Alpharetta, GA

Full-time

Posted 11 days ago


Job description

Treasury Manager – Global

About Arclin

You can find Arclin everywhere. Our technologies make homes and transportation safer, help crops flourish, keep water clean, protect first responders and members of the military, and preserve the purity of essential pharmaceuticals. These vital, everyday products can't fail, and we’re here to give the world an extra layer of performance and peace of mind.
With ~4,000 team members across more than 30 global manufacturing facilities, we operate with the scale to make a global impact and the agility to solve complex challenges at the molecular level. Rooted in scientific discovery and innovation, Arclin’s materials redefine performance across industries - from Firepoint®’s patented intumescent technology that helps stall flames and save lives to the iconic Kevlar® and Nomex® brands trusted to protect those who serve, strengthen aerospace and industrial systems, and perform where reliability and safety are top of mind.
As we expand our mission‑critical materials portfolio and shape the next era of performance technologies, we’re looking for people who want to grow, lead, and solve the challenges others can’t. Together, we’ll advance the innovations that keep the world moving. Because at Arclin, our people are truly Vital Beyond Measure.

Position Summary

Reporting to the Assistant Treasurer, the Treasury Manager is responsible for managing global cash operations, global liquidity, cash forecasting, bank accounts and foreign exchange risk for Arclin. The role also serves as the functional business owner of Kyriba, defining treasury requirements, priorities, and policies while partnering with the Treasury Systems Analyst on system enablement.

This role provides external-facing leadership with banks and vendors and plays a key role in acquisition integration and treasury transformation initiatives.

Key Responsibilities

Global Cash & Liquidity Management

  • Manage daily and strategic oversight of global cash positioning, forecasting, and liquidity
  • Design and optimize global cash structures, intercompany funding, intercompany loans and pooling arrangements
  • Partner with FP&A, AP & Payroll for short term and 13 weeks forecasting and variance analysis.
  • Partner with Tax and Legal on repatriation strategies and regulatory considerations
  • Support banking structure rationalization and global account governance
  • Develop and maintain global cash flow forecasting models in Kyriba to support decision making

Intercompany Funding & Cash Pooling

  • Manage global intercompany lending, borrowing, and settlement processes.
  • Oversee multi-currency cash pools and ensure efficient utilization of global liquidity.
  • Ensure compliance with transfer pricing, tax, and regulatory requirements.
  • Maintain accurate documentation for intercompany agreements and treasury transactions.

Investments & Borrowing

  • Manage short-term investment activity in accordance with treasury policy.
  • Oversee borrowing facilities, including revolvers and short-term debt.
  • Monitor availability, covenant compliance, and liquidity metrics.
  • Coordination with the banks to issue LCs, Bank guarantees for group entities.

Kyriba Functional Business Ownership

  • Serve as business owner and primary treasury point of contact for Kyriba
  • Define functional requirements, priorities, and success criteria for Kyriba usage
  • Approve treasury workflows, controls, and policy alignment within the system
  • Partner with the Treasury Systems Analyst and IT on enhancements and upgrades,

lead user acceptance testing from a business perspective

Foreign Exchange Risk Management

  • Identify, quantify, and manage FX transaction and translational exposures
  • Manage FX trade execution, settlements, and counterparty exposure
  • Partner with Accounting on FX accounting support and documentation

Capital Markets & M&A

  • Lead treasury workstreams for acquisitions and divestitures, including cash positioning and liquidity setup, FX exposure identification, bank onboarding and structure design
  • Assist Treasurer and Assistant Treasurer with Capital Markets analysis and execution

SOX Compliance, Internal Controls, Audit & Governance

  • Act as an external-facing representative to international banks and FX counterparties
  • Support bank RFPs and fee review processes
  • Assist with the preparation of global bank reporting, including cash positions, liquidity metrics, and FX exposures.
  • Collaborate with FP&A, Accounting, Tax, IT, Audit, and Legal
  • Ensure compliance with banking regulations and internal controls.
  • Maintain a SOX-compliant treasury environment and support SOX and external audit requests related to treasury activities

Qualifications

· Bachelor's degree in finance, Accounting, Economics, or related field; MBA or CPA,CFA/CTP preferred.

  • 7+ years of progressive treasury experience in a multinational corporation.
  • Strong knowledge of day-to-day treasury operations, liquidity management, cashflow forecast.
  • Hands-on experience with TMS systems.
  • Solid understanding of intercompany funding, cash pooling, and global banking structures.
  • Advanced Excel and financial modeling skills.
  • Strong communication skills and ability to collaborate across cultures and time zones.