Oliver James
Director of Global Treasury | Atlanta (Hybrid)
Oliver James is delighted to be supporting a global, publicly traded insurance and services group that is hiring a Director of Global Treasury. This is a high visibility role that sits close to senior leadership with a genuine succession path in place. The position has become increasingly important as the business continues to expand internationally and strengthen its global treasury framework.
The role
Lead global cash forecasting and liquidity planning
Manage debt reporting, covenant workbooks and other treasury controls
Oversee intercompany loans, documentation and tax compliant structures
Drive timely clearance of intercompany transactions across multiple regions
Optimise cash balances and global banking relationships
Monitor and report FX exposures and support risk management decisions
Develop and implement international treasury policies
Support the insurance renewal process when needed
Act as a key partner to the VP Treasurer and senior finance leaders
What They Are Looking For
10+ years of hands on treasury experience
Public company background is very helpful due to SOX, reporting and governance
International treasury exposure and comfort with intercompany activity
Someone who can operate with senior leadership and manage a lean function
Insurance background is not required, but domain familiarity is useful
CTP is preferred but not essential
Location Atlanta based hybrid. They are looking for someone who can be in the office three days a week. Re-locators will be considered, but no relocation package is on offer.
Compensation Base range is 150k to 175k with flexibility up to 200k for the right profile. Target bonus is 15% plus standard benefits.
Why this is interesting
Lean team which gives this person genuine ownership
Significant exposure to the CFO
Clear succession planning in mind for the Treasurer role over time
A global remit with plenty of complexity to get stuck into
If you have a strong treasury background and would like to explore a confidential conversation, please contact Harry Young at Oliver James at h.young@oliverjames.net. Apply Now
#J-18808-Ljbffr
The role
Lead global cash forecasting and liquidity planning
Manage debt reporting, covenant workbooks and other treasury controls
Oversee intercompany loans, documentation and tax compliant structures
Drive timely clearance of intercompany transactions across multiple regions
Optimise cash balances and global banking relationships
Monitor and report FX exposures and support risk management decisions
Develop and implement international treasury policies
Support the insurance renewal process when needed
Act as a key partner to the VP Treasurer and senior finance leaders
What They Are Looking For
10+ years of hands on treasury experience
Public company background is very helpful due to SOX, reporting and governance
International treasury exposure and comfort with intercompany activity
Someone who can operate with senior leadership and manage a lean function
Insurance background is not required, but domain familiarity is useful
CTP is preferred but not essential
Location Atlanta based hybrid. They are looking for someone who can be in the office three days a week. Re-locators will be considered, but no relocation package is on offer.
Compensation Base range is 150k to 175k with flexibility up to 200k for the right profile. Target bonus is 15% plus standard benefits.
Why this is interesting
Lean team which gives this person genuine ownership
Significant exposure to the CFO
Clear succession planning in mind for the Treasurer role over time
A global remit with plenty of complexity to get stuck into
If you have a strong treasury background and would like to explore a confidential conversation, please contact Harry Young at Oliver James at h.young@oliverjames.net. Apply Now
#J-18808-Ljbffr