The Treasury Manager will will play a key role in overseeing International Cash Operations and ShortâTerm Investments. This role is responsible for daily activities including, but not limited to positioning cash, calculating liquidity needs, investment recommendations/redemptions, foreign currency trade requests, managing the cash pool hedging program, and processing cash payments as needed. This position works closely with the Sr. Investment Manager to develop strategies that drive interest income while preserving principal. The role requires close alignment with the Company's global banking partners, International Treasury Services team, Finance Hub, and other stakeholders to provide liquidity as needed via the movement of funds globally. The role also supports management with ad hoc special projects and provides critical backâup to the Domestic Cash Desk, drawing on strong analytical skills and treasury experience.
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Job Type
Full-time
Career Level
Manager
Industry
Beverage and Tobacco Product Manufacturing