Treasury Analyst - Domestic Cash and Short-term Investments

Remote Full-time
The Coca-Cola Company is seeking a highly analytical and detail-oriented Treasury Consultant to support domestic cash operations and liquidity management. This role involves managing cash positions, coordinating with banking partners, and ensuring compliance while supporting funding and investment decisions. Responsibilities Prepare and report daily cash positions for domestic and foreign currency bank accounts Determine daily liquidity requirements and fund domestic and foreign currency bank accounts appropriately Execute and reconcile cash concentration transfers and cash movements Prepare and maintain short‑term cash forecasts; identify and communicate key variances and drivers Execute and monitor electronic payments in accordance with company policies and SOX controls Support daily funding decisions for operating needs, intercompany activity, dividends, M&A, share repurchases, and capital calls Manage and recommend short‑term investment and redemption decisions Support Commercial Paper issuance analysis and daily funding recommendations Manage foreign currency bank accounts for domestic entities Identify foreign exchange funding needs and coordinate FX transactions to minimize liquidity and currency risk Support international payment systems and foreign currency account funding Act as a primary point of contact for banking partners and internal stakeholders for day‑to‑day treasury and banking needs Analyze monthly bank fees, investigate variances, and recommend cost‑saving and efficiency improvements Support monthly treasury‑related account reconciliations Assist with SOX compliance, internal and external audits, and treasury policy updates Partner with Corporate Accounting, Tax, Broader Treasury team and Operating Units to support treasury transactions and entity structures Perform daily ad‑hoc analysis to resolve issues such as unreconciled cash, missing transactions, and process gaps Participate in or lead treasury initiatives focused on process optimization and operational excellence Provide backup support to cash management teams Skills Bachelor's degree in Finance, Accounting, Economics, or a related field 1–3 years of experience in Treasury, Cash Management, Corporate Finance, or Banking Understanding of cash management, banking operations, payment systems (wires, ACH), and treasury controls Experience with short‑term investments and cash forecasting Advanced Excel skills; experience with Power BI, banking portals, and treasury workstations (Reval a plus) Knowledge of treasury policies, SOX controls, and audit requirements Exceptional attention to detail and accuracy High sense of urgency with the ability to manage shifting priorities Strong analytical and problem‑solving skills Excellent communication and collaboration skills across teams Proactive, agile, and eager to learn in a dynamic treasury environment CTP certification is a plus Benefits A full range of medical, financial, and/or other benefits, dependent on the position Company Overview The Coca-Cola Company is a soft drink manufacturer & distributor that makes a variety of soft drinks, including diet coke and regular coke. It was founded in 1892, and is headquartered in Atlanta, Georgia, USA, with a workforce of 10001+ employees. Its website is
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