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Treasury Project Manager Jobs in Georgia (NOW HIRING)

... management processes. * Partner with Accounting, Accounts Payable, FP&A, IT, Tax, and Operations to resolve issues and improve treasury processes. * Support ad hoc treasury projects, system ...

Work you'll do As an SAP Treasury Senior Consultant on the Controllership and Treasury ... Ability to lead projects or workstreams * Ability to manage and prioritize multiple tasks in a fast ...

Ability to lead projects or workstreams * Ability to manage and prioritize multiple tasks in a fast ... Experience in treasury transformation initiatives, vendor selection, or treasury management system ...

As a Manager, Treasury, you lead and oversee Rithum's global treasury operations, ensuring ... You lead treasury-related projects, strengthen internal controls, and ensure compliance with ...

... projects, particularly those impacting Americas operations • Contribute to Treasury policy ... Treasury Manager Requisition ID: 21950 Location:

... related projects, particularly those impacting Americas operations Contribute to Treasury policy ... management Understanding of financial statements, working capital and cash conversion cycle ...

Treasury Internship - Summer '25

Atlanta, GA · On-site

$17 - $22.25/hr

... management while developing key analytical andproblem-solving skills in a fast-paced environment. While more technical treasury projects-such as Power BI reporting, MicrosoftPower Automate, and ...

Ability to lead projects or workstreams * Ability to manage and prioritize multiple tasks in a fast ... Experience with SAP Treasury components, including Cash Management, Transaction Manager, In-House ...

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Treasury Project Manager information

What are the key skills and qualifications needed to thrive as a Treasury Project Manager, and why are they important?

To excel as a Treasury Project Manager, you need a solid background in finance or accounting, strong project management skills, and often a relevant degree or certification such as PMP or CPA. Familiarity with treasury management systems (TMS), ERP platforms, and financial modeling tools is typically required. Exceptional organizational, stakeholder management, and communication skills are critical for coordinating cross-functional teams and driving projects to completion. These competencies ensure effective risk management, timely project delivery, and alignment with organizational financial objectives.

What is the difference between Treasury Project Manager vs Treasury Analyst?

AspectTreasury Project ManagerTreasury Analyst
Required CredentialsBachelor's degree in finance, accounting, or related field; often PMP or project management certificationsBachelor's degree in finance, economics, or related field; may hold CFA or CPA
Work EnvironmentLeads projects, collaborates with treasury teams, manages timelines and budgetsAnalyzes financial data, supports treasury operations, prepares reports
Employer & Industry UsageUsed in corporate treasury departments, financial institutions, multinational companiesCommonly found in corporate finance, banking, and investment firms

The Treasury Project Manager focuses on leading treasury-related projects, ensuring timely delivery and coordination, while the Treasury Analyst supports daily treasury operations through data analysis and reporting. Both roles require financial knowledge but differ in scope and responsibilities.

What are Treasury Project Managers?

Treasury Project Managers are professionals responsible for overseeing and executing projects related to a company's treasury operations, such as cash management, liquidity planning, banking relationships, and financial risk management. They coordinate cross-functional teams, implement new systems or processes, and ensure that treasury projects are completed on time and within budget. Their work helps organizations optimize cash flow, manage financial risks, and comply with regulatory requirements.

How does a Treasury Project Manager typically collaborate with cross-functional teams in the organization?

A Treasury Project Manager works closely with teams from finance, IT, accounting, and sometimes legal or compliance departments to implement and oversee treasury-related projects. This collaboration often involves coordinating system upgrades, cash management initiatives, or banking integrations, ensuring that all stakeholders are aligned on objectives and timelines. Effective communication and project management skills are essential, as the Treasury Project Manager acts as a bridge between technical and business teams, facilitating smooth project execution and successful outcomes.
What are popular job titles related to Treasury Project Manager jobs in Georgia? For Treasury Project Manager jobs in Georgia, the most frequently searched job titles are:
What job categories do people searching Treasury Project Manager jobs in Georgia look for? The top searched job categories for Treasury Project Manager jobs in Georgia are:
What cities in Georgia are hiring for Treasury Project Manager jobs? Cities in Georgia with the most Treasury Project Manager job openings:
Treasury Analyst

Full-time

Posted 19 days ago


Ascensus rating

8.5

Company rating: 8.5 out of 10

Based on 38 frontline employees who took The Breakroom Quiz

25th of 146 rated financial services


Job description

Ascensus is the leading independent technology and service platform powering savings plans across America, providing products and expertise that help nearly 16 million people save for a better today and tomorrow.

Position Summary
We are seeking a detail-oriented and analytical Treasury Analyst to support daily treasury operations, cash management, banking activities, forecasting, and compliance initiatives. This role is responsible for managing daily cash positions, monitoring banking activity, supporting month-end close, maintaining banking relationships, assisting with forecasts, and ensuring strong internal controls. The ideal candidate combines treasury expertise with strong Excel skills, sound judgment, attention to detail, and a continuous improvement mindset.

Key Responsibilities

  • Prepare and analyze daily treasury and banking activity reports for senior leadership across multiple bank accounts.
  • Perform daily cash management, determines funding requirements, schedules debt payments, amortization payments, and invests excess cash in accordance with the company's investment policy.
  • Assist with short-term cash forecasting, liquidity planning, identification of key drivers, and variance analysis of forecasted versus actual results.
  • Process cash transfers, wire payments, ACH transactions, checks, positive pay, cashier's checks, fraud detection and related treasury activity.
  • Record journal entries related to cash transactions and support the month-end close processes.
  • Investigate and resolve discrepancies in cash transactions and ensure all activity is properly reconciled and documented.
  • Maintain banking relationships and serve as a primary point of contact for banking partners to resolve service issues.
  • Track and analyze bank fees, merchant fees, and banking service levels.
  • Support bank account administration, escrow accounts, KYC, account opening and closing, user access maintenance, signer maintenance, and portal administration.
  • Support internal and external audit activities by preparing schedules, documentation, and compliance support materials.
  • Assist with SOX compliance, escheat processes, internal control testing related to treasury and cash management processes.
  • Partner with Accounting, Accounts Payable, FP&A, IT, Tax, and Operations to resolve issues and improve treasury processes.
  • Support ad hoc treasury projects, system enhancements, bank platform enhancements, technology rollouts, and reporting initiatives.
  • Maintain debt covenant compliance schedules and related reporting files.
  • Support M&A implementation and integration.
  • Manage intercompany settlements, Letters of Credit, and derivative settlements.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • 3+ years of experience in treasury, cash management, corporate finance, accounting, or related areas.
  • Exposure to Power BI or other reporting tools.
  • Advanced Excel skills, including pivot tables, lookups, formulas, and data analysis.
  • CTP certification or progress toward certification is a plus.
  • An "AI-first" mindset with hands-on experience utilizing generative AI and machine learning tools for predictive analytics and process scaling.
  • Strong experience with banking activity, cash operations, reconciliations, and treasury reporting.
  • Experience with ERP systems, treasury workstations, or banking platforms preferred (Lawson, Cloud Suite, NetSuite, Trovata, JPM Access, BNY NEXEN, Wells Fargo Vantage).
  • Strong analytical, organizational, and problem-solving skills.
  • Excellent verbal and written communication skills.
  • High attention to detail, accuracy, and ability to manage multiple priorities in a deadline-driven environment.
  • Process improvement mindset.
  • Adaptability and willingness to manage shifting priorities.

Be aware of employment fraud. All email communications from Ascensus or its hiring managers originate from @ascensus.com or @futureplan.com email addresses. We will never ask you for payment or require you to purchase any equipment. If you are suspicious or unsure about validity of a job posting, we strongly encourage you to apply directly through our website.


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