Senior Treasury Analyst
Senior Treasury Analyst
Location: Alpharetta, GA (Hybrid)
ABOUT ARCLIN
You can find Arclin everywhere. Our technologies make homes and transportation safer, help crops flourish, keep water clean, protect first responders and members of the military, and preserve the purity of essential pharmaceuticals. These vital, everyday products can't fail, and we’re here to give the world an extra layer of performance and peace of mind.
With ~4,000 team members across more than 30 global manufacturing facilities, we operate with the scale to make a global impact and the agility to solve complex challenges at the molecular level. Rooted in scientific discovery and innovation, Arclin’s materials redefine performance across industries - from Firepoint®’s patented intumescent technology that helps stall flames and save lives to the iconic Kevlar® and Nomex® brands trusted to protect those who serve, strengthen aerospace and industrial systems, and perform where reliability and safety are top of mind.
As we expand our mission‑critical materials portfolio and shape the next era of performance technologies, we’re looking for people who want to grow, lead, and solve the challenges others can’t. Together, we’ll advance the innovations that keep the world moving. Because at Arclin, our people are truly Vital Beyond Measure.
- Prepare and maintain daily cash position reporting across domestic and international bank accounts.
- Support short-term and long-range cash forecasting, including 13-week cash flow forecasts.
- Partner with FP&A, Accounts Payable, Payroll, and business leaders to analyze cash flow trends and forecast variances.
- Monitor cash balances and liquidity requirements across global entities.
- Assist in the development and maintenance of treasury reports, dashboards, and forecasting models within Kyriba.
- Identify liquidity trends and escalate potential risks or funding needs to Treasury leadership.
- Administer bank accounts, including account openings, closures, maintenance, and signatory updates.
- Support banking relationship management and day-to-day interactions with financial institutions.
- Coordinate wire transfers, ACH payments, letters of credit, bank guarantees, and other treasury transactions.
- Assist with bank fee reviews, service analysis, and banking documentation.
- Maintain bank account inventories and ensure compliance with treasury policies.
- Support intercompany funding, settlement, and cash movement activities.
- Assist with cash pooling and liquidity management initiatives.
- Maintain documentation related to intercompany loans and treasury transactions.
- Partner with Accounting and Tax to support compliance with internal policies and regulatory requirements.
- Perform treasury-related reconciliations and ensure accurate transaction recording.
- Serve as a key treasury user for Kyriba.
- Support treasury system administration, reporting, enhancements, and ongoing optimization efforts.
- Partner with the Treasury Systems Analyst and IT on system upgrades and enhancements.
- Participate in user acceptance testing (UAT) and validation of treasury workflows and reporting.
- Identify opportunities to automate treasury processes and improve data integrity.
- Monitor foreign exchange exposures and prepare reporting for Treasury leadership.
- Support FX trade execution, confirmations, settlements, and documentation.
- Coordinate with banking partners on foreign currency transactions.
- Assist with FX exposure analysis and related treasury reporting.
- Partner with Accounting to support FX accounting and reporting requirements.
- Support short-term investment activities in accordance with treasury policies.
- Assist with administration of revolving credit facilities, debt agreements, and related reporting.
- Monitor debt balances, borrowing activity, and covenant compliance requirements.
- Prepare analyses related to liquidity, financing activities, and treasury metrics.
- Support treasury integration activities related to acquisitions and divestitures.
- Assist with banking setup, account structure implementation, and liquidity planning for newly acquired entities.
- Contribute to treasury transformation initiatives and process improvement projects.
- Provide analytical support for strategic treasury initiatives and special projects.
- Maintain compliance with treasury policies, SOX requirements, and internal controls.
- Support internal and external audit requests related to treasury activities.
- Prepare treasury reports and documentation for management review.
- Partner with Accounting, Tax, Legal, Internal Audit, and Finance teams to support governance and compliance requirements.
- Identify opportunities to strengthen controls and improve treasury processes.
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
- CTP, CPA, CFA, or progress toward a professional certification preferred.
- 3-5 years of treasury, corporate finance, cash management, or related experience, preferably within a multinational organization.
- Strong knowledge of cash management, cash forecasting, liquidity planning, and treasury operations.
- Experience with treasury management systems, preferably Kyriba.
- Understanding of banking products, treasury controls, foreign exchange, and debt administration.
- Strong analytical, financial modeling, and problem-solving skills.
- Advanced proficiency in Microsoft Excel and financial reporting tools.
- Excellent communication, organization, and stakeholder management skills.
- Ability to manage multiple priorities and work effectively across functions and time zones.
- Accurate and timely cash positioning and forecasting.
- Effective support of liquidity and treasury operations.
- Strong compliance with treasury controls and SOX requirements.
- High-quality treasury reporting and analysis.
- Successful execution of treasury projects and system enhancements.
- Continuous improvement of treasury processes, automation, and operational efficiency.