The Intersect Group is recruiting for a Treasury Manager on behalf of a rapidly growing company in Atlanta! This is a newly created and highly visible role that will focus on Pre-IPO readiness, working closely with the executive team.
Treasury Manager Responsibilities:
- Perform activities related to cash flow, borrowings, debt, and capital management
- Allocate cash balances, maintain investment records, and prepare expense and earnings forecast
- Integrate cash management
- Work with lenders and manage relationships
- Ensure debt compliance
- Ensure compliance of Company policies and procedures with regulations
Treasury Manager Requirements:
- 6-8+ years of relevant and progressive experience
- Public company experience
- Pre-IPO or offering experience
- Demonstrated job stability
For immediate consideration, please submit your resume to email@example.com today!