Treasury Manager, International
Listed on 2026-04-23
-
Finance & Banking
Corporate Finance, Risk Manager/Analyst, Financial Manager, Financial Analyst
Corporate Headquarters
1150 Sanctuary Parkway
Suite 100
Alpharetta, GA 30009, USA
Arclin has an immediate opening for a Treasury Manager‑International
. This full‑time position will be Hybrid (2‑3 days in office) based out of our Corporate Headquarters in Alpharetta, GA (North Metro Atlanta Area).
Company Description
We are a rapidly growing, $2.5B global chemical manufacturing company. From building products for agricultural applications and more, we are applying advanced technology to solve complex product and environmental performance challenges. As we embark on our journey to become a publicly traded entity, we are seeking a transformative leader to modernize our global finance function.
Position Summary
Reporting to the Assistant Treasurer, the Treasury Manager is responsible for managing international cash operations, global liquidity, 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.
- 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.
- Serve as business owner and primary treasury point of contact for Kyriba.
- 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.
- Lead treasury work streams for acquisitions and divestitures, including cash positioning and liquidity set‑up, FX exposure identification, bank onboarding and structure design.
- Assist Treasurer and Assistant Treasurer with capital markets analysis and execution.
- Support bank RFPs and fee review processes.
- Assist with 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.
- Bachelor's degree in finance, accounting, economics, or related field.
- MBA or CFA/CTP preferred.
- 7+ years of progressive treasury experience in a multinational corporation.
- Strong knowledge of FX markets, hedging instruments, and liquidity management.
- Hands‑on experience with TMS systems.
- Strong communication skills and ability to collaborate.
Equal Opportunity Employer. This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.
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