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Senior Director, Treasury Accounting and Cash Flow

The Coca-Cola Company

Atlanta, GA$180k – $203kToday

About the role

This position is a leader on the Treasury Accounting team which is responsible for the global financial close, forecasting and reporting processes for Corporate Treasury items including derivative and hedging items, long-term debt, and commodities, including complex financial analysis of Treasury results. This role will also be a key member of Cash Flow Delivery Team, which includes the continued development of the SAP Cash Flow module, and the refinement of end-to-end comprehensive forecasting and analysis. This role will provide thought leadership to Corporate Treasury determine the optimal process / people / technology for P&L and cash flow management. This position is a people leader role with four direct reports. Key Responsibilities: Oversee the Treasury Accounting close process for derivatives and hedge accounting, including Corporate Cash Flow by partnering with Corporate Accounting, and Corporate Treasury Review Complex Treasury Items and recommend accounting

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