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Treasury Risk Finance Jobs in Georgia (NOW HIRING)

... financial risks through appropriate risk management strategies (fx hedging, interest rate hedging etc.) • Maintain efficient tools and process for cash management and hedging including treasury ...

... financial risks through appropriate risk management strategies (fx hedging, interest rate hedging etc.) Maintain efficient tools and process for cash management and hedging including treasury ...

... manage risk, and unlock new levels of financial and operational excellence. Recruiting for this ... Work you'll do As an SAP Treasury Senior Consultant on the Controllership and Treasury ...

... manage risk, and unlock new levels of financial and operational excellence. Recruiting for this ... Work you'll do As an SAP Treasury Senior Consultant on the Controllership and Treasury ...

Treasury Manager

Atlanta, GA · On-site

$120 - $180/hr

... financial risk exposures across its global operations. Key Responsibilities Treasury Systems ... Operations * Support the integration of a Treasury Management System (TMS) , including integration ...

Manages risk/return and drives quality for new and/or existing clients. Actively identifies and ... financial well-being. Drives client engagement and loyalty through strategic dialogue and ...

Global Treasury Manager

Alpharetta, GA · On-site

$125K - $140K/yr

... foreign exchange risk. Reporting to the Assistant Treasurer, this person will serve as the ... Bachelor's degree in Finance, Accounting, Economics, or related field; MBA or CPA/CFA/CTP preferred ...

... risk for Arclin. The role also serves as the functional business owner of Kyriba, defining treasury ... Partner with FP&A, AP & Payroll for short term and 13 weeks forecasting and variance analysis.

This role supports the accuracy and timeliness of general ledger entries and financial reporting ... and risk management processes. This role ensures efficient and secure cash flow, accurate ...

... risk for Arclin. The role also serves as the functional business owner of Kyriba, defining treasury ... Partner with FP&A, AP & Payroll for short term and 13 weeks forecasting and variance analysis.

Treasury Manager

Atlanta, GA · On-site

$120 - $180/hr

This role safeguards the Firm's financial assets by maintaining a strong control environment ... Ability to manage high-pressure situations, resolve issues effectively, and mitigate risk in a ...

... risk. * Portal Management: Administer global banking portals and platforms, ensuring secure and ... Advanced Financial Modelling: Exceptional proficiency in Google Sheets or Excel, with a proven ...

Showing results 21-40

Treasury Risk Finance information

What is the difference between Treasury Risk Finance vs Treasury Analyst?

AspectTreasury Risk FinanceTreasury Analyst
Primary FocusManaging financial risks, including currency, interest rate, and liquidity risksSupporting daily treasury operations, cash management, and reporting
Required SkillsRisk assessment, financial modeling, risk mitigation strategiesCash flow analysis, banking relationships, reporting
CertificationsFRM, CFA often preferredNone specific, but CFA or CPA can be advantageous
Work EnvironmentCorporate treasury departments, financial institutionsCorporate finance teams, banking environments

While Treasury Risk Finance focuses on identifying and mitigating financial risks, Treasury Analysts handle daily cash management and reporting tasks. Both roles require financial knowledge, but Risk Finance emphasizes risk assessment and strategic mitigation, often involving specialized certifications like FRM or CFA.

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For Treasury Risk Finance jobs in Georgia, the most frequently searched job titles are:

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Treasury Manager

Landis+Gyr

Alpharetta, GA • On-site

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

This job post has expired today. Applications are no longer accepted.


Job description

At Landis+Gyr, we're helping shape the future of energy-making it more intelligent, resilient, and sustainable.
As a global energy technology leader, we're accelerating the energy evolution through purposeful innovation and trusted partnerships. Trusted by more than 2,000 utilities worldwide, our intelligent solutions connect devices, data, and decisions across the grid, helping customers modernize infrastructure, optimize operations, and deliver energy that is more reliable, resilient, accessible, safe, and sustainable.
Behind every solution is a team of approximately 3,300 employees across more than 40 countries who are passionate about solving complex challenges, driving innovation, and making a meaningful impact for our utility customers and the communities they serve.
Join Team Green and help shape the future of intelligent energy.
Job Summary
• Ensure the optimal funding of Group and group companies with primary responsibility for Americas entities, and cash management of holding company
• Lead Americas cash forecasting, liquidity planning, and working capital optimization to support operational and strategic needs
• Minimize impact of financial risks through appropriate risk management strategies (fx hedging, interest rate hedging etc.)
• Maintain efficient tools and process for cash management and hedging including treasury management system, connectivity with other systems, host to host connectivity, and banking platforms
• Ensure compliance with Americas treasury, banking, and regulatory requirements
KPIs
Minimum cost of funding, return on investment, forecast accuracy, minimum cash level in subsidiaries, efficient risk management of foreign currency exposures, optimized working capital and credit utilization, automated processes with minimal manual tasks
Core Areas of Responsibility/Accountability
• Manage the liquidity of the Group and its subsidiaries, with a primary focus on US operations; optimize short- to mid-term funding in different currencies (external loans, intercompany cash pooling and loan positions, overdrafts, investments)
• Own and continuously improve Americas cash forecasting process, including short-term liquidity forecasting and mid-term planning, in close coordination with Finance and business teams
• Optimize currency positions across cash pooling structures, including USD-centric funding, investments, and cross-currency positioning
• Assess foreign currency exposure of Group companies and implement adequate hedging strategies with the business
• Manage foreign currency exposure of the holding company and execute hedges (cash flow hedges, balance sheet hedges, net investment hedges)
• Be responsible for management of the Group intercompany loan portfolio, including tax, legal, and transfer pricing considerations, and coordinate with Tax, Legal, and Treasury stakeholders
• Maintain an adequate and efficient bank structure, cash pooling, and host-to-host connectivity; negotiate terms and conditions, manage credit facilities, and monitor bank fees
• Oversee working capital and credit management primarily for Americas entities, including bank credit lines, guarantees, and liquidity buffers
• Contribute to and enhance Group-wide cash forecasting standards, accuracy, and efficiency
• Automate and optimize Treasury processes and systems; act as point of contact for technical questions (Treasury Management System, Netting system, e-banking platforms)
• Support the Treasury Analyst in cash management-related matters
• Back up Treasury Analyst tasks (interest calculation on intercompany loans, IC netting, reporting, etc.)
• Participate in and/or lead Treasury-related projects, particularly those impacting Americas operations
• Contribute to Treasury policy definition, internal controls, and Treasury reporting in line with US GAAP, SOX and internal governance
Experience
• At least 7 years of professional experience, with a minimum of 5 years in a corporate treasury function covering FX, cash management, and liquidity in an international organization
• Must be comfortable working at both a strategic and operational level
• Strong experience in treasury operations, including local banking, cash forecasting, and liquidity management
• Understanding of financial statements, working capital and cash conversion cycle
• Experience of cash management at Group / Holding level
• Proficiency in using Treasury Management System, Banking platforms, Trading Software (360T), Bloomberg and Excel
• Experience in trade finance / guarantees is a plus
• Exposure to credit risk management is a plus
Education
• Bachelor's degree in finance/ banking or a related field with professional certifications such as Certified Treasury Professional, Chartered Financial Analyst (CFA) or similar, Masters preferred
• Fluent in English (written and spoken)
As a part of the Landis+Gyr family, employees are offered a comprehensive and competitive package of benefits including medical, dental and vision coverage, life insurance, and a 401(k)-retirement plan featuring a generous company match incentive. Additionally, we offer three (3) weeks of Paid Time Off (PTO) as well as eleven (11) paid holidays. We also offer a tuition reimbursement program, optional pet insurance, supplemental medical coverage and a host of other perks to ensure the health, wellness, and enrichment of our team members.
Pay is in the range of $98,122 - $142,088 per year. The actual base salary offered depends on a variety of factors, which may include, as applicable, the qualifications of the individual applicant for the position, years of relevant experience, specific and unique skills, level of education attained, and certifications or other professional licenses held. All candidates are encouraged to apply.
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.
We're committed to shaping a better future for everyone. Join Team Green and be part of what's next in energy. #TeamGreen
Job Title: Treasury Manager
Requisition ID: 21950
Location: