Senior Treasury Manager - U.S and Europe
Listed on 2026-06-14
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Finance & Banking
Corporate Finance, Risk Manager/Analyst, Financial Manager, CFO
Senior Treasury Manager - U.S and Europe
Atlanta, GA, USA
Job DescriptionPosted Tuesday, June 9, 2026 at 10:00 AM
At Bakelite, you’ll help us create a better tomorrow with sustainable and innovative chemistry today.
We’re Everywhere. Everywhere you look, you’ll find products enabled by Bakelite, from stronger homes to safer automobiles and everywhere in between. With more than 100 years of history and strong customer relationships, we boldly engineer sustainable products to tackle our world’s most challenging demands.
Join Our Team and Help Us Build a Stronger, Safer, Better World.
It’s Better with Bakelite.
YOUR IMPACT- Improve global liquidity visibility through 13-week cash forecasting and insights.
- Lead daily global cash operations and ensure strong financial controls.
- Support ABL borrowing base reporting and debt compliance.
- Partner cross-functionally to improve working capital performance.
- Strengthen treasury systems, automation, and operational efficiency.
- Lead and develop a small global treasury team.
- Own the 13-week cash flow forecast and variance analysis.
- Partner with Finance and Operations to improve accuracy and assumptions.
- Identify liquidity risks and funding needs.
- Manage global cash positioning, payments, and banking activity.
- Oversee intercompany funding and account structures.
- Ensure timely payments and strong internal controls.
- Support ABL borrowing base and collateral reporting.
- Maintain covenant monitoring and lender reporting accuracy.
- Manage Treasury Management System (Kyriba preferred).
- Support SOX controls, audits, and automation initiatives.
- Oversee banking relationships, KYC, and account administration.
- Coach and develop treasury team members across regions.
- Improve processes, documentation, and execution standards.
- Bachelor’s degree in Finance, Accounting, Business, or related field (MBA preferred).
- 8+ years of treasury experience in cash management and forecasting.
- Experience with 13-week cash forecasting and ABL/debt structures preferred.
- Private equity or leveraged environment experience preferred.
- Experience leading or mentoring team members.
- CTP/CTM preferred.
- Strong Excel and treasury systems experience (Kyriba a plus).
- Up to 10% travel, including international.
- Global role with meaningful impact across the business.
- Strong culture of safety, innovation, and sustainability.
- Opportunity to build and scale modern treasury capabilities.
- Supportive environment focused on development and growth.
Atlanta, Georgia — a global city with strong business access, culture, and connectivity.
We are an Equal Opportunity, Affidictive Action employer. All qualified applicants will receive consideration for employment without regard to gender, minority status, sexual orientation, gender identity, protected veteran status, status as a qualified individual with a disability or any characteristic protected by law.
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