Manager, Treasury Accounting
$115k - $125kHunter Douglas
Hunter Douglas is the world’s leading manufacturer of window coverings and a major manufacturer of architectural products. We are a brand that you know and trust. With more than 100 years of innovation, we’ve defined our industry with proprietary products that deliver revolutionary style and functionality and can be found in millions of homes and commercial buildings globally. We are searching for candidates that are driven, intelligent, creative, and entrepreneurial. By offering challenging and accelerated opportunities for growth, powered by a shared hunger for success, we create a space for your career to thrive. In return for your expertise, we are committed to providing competitive and robust total compensation and benefit packages to ensure you feel valued. Our dream is to become the fastest growing, most loved, window covering company in the world. What’s yours? Position Overview: The Manager, Treasury Accounting is responsible for accounting and reporting related to the Company's financing activities, foreign exchange exposures, derivative instruments, and hedging programs. The role is responsible for a portfolio of corporate entities and ensures treasury, intercompany, and other complex transactions are accurately reflected in the financial statements. This role combines technical accounting, financial analysis, and process improvement. The successful candidate will work closely with Accounting, Treasury, Tax, and outsourced accounting teams to resolve accounting issues, support treasury-related reporting requirements, and improve the efficiency and reliability of existing processes. The role provides exposure to debt accounting, derivative accounting, hedge accounting, fair value analyses, and other specialized areas of corporate accounting within a global organization. What you'll do: Treasury Accounting: Own accounting and reporting for debt instruments, derivatives, foreign exchange exposures, and other treasury-related transactions. Prepare and review fair value analyses for derivative instruments and ensure appropriate accounting treatment under U.S. GAAP. Support the Company's hedging programs, including data collection, effectiveness assessments, accounting analyses, and maintenance of supporting documentation. Prepare and review treasury-related journal entries, reconciliations, and account analyses. Monitor and analyze foreign currency exposures and related accounting impacts. Support accounting for intercompany financing arrangements and treasury activities. Partner with Treasury, Tax, and Finance teams to ensure treasury-related transactions are appropriately reflected in the accounting records. Corporate Entity Accounting: Serve as the primary accounting owner for designated corporate entities, including treasury and intercompany-intensive entities. Review monthly accounting activities, reconciliations, and supporting schedules prepared by outsourced accounting providers. Ensure assigned entities are accurately and timely reported within the Company's financial reporting systems. Investigate and resolve accounting issues, balance sheet discrepancies, and reporting anomalies. Maintain accountability for the accuracy and completeness of financial results for assigned entities. Coordinate and support internal and external audit requests related to assigned entities and treasury accounting matters. Process Improvement & Automation: Identify opportunities to improve efficiency, strengthen controls, and reduce manual effort across treasury accounting and entity accounting processes. Leverage SAP, Excel, Power Query, and other tools to automate recurring activities and enhance reporting quality. Develop practical solutions that improve accounting operations and reduce reliance on manual processes. Partner with stakeholders to streamline workflows and improve the effectiveness of outsourced accounting support. Special Projects & Technical Support: Support development and maintenance of key accounting assumptions and models, including incremental borrowing rates, volatility analyses, discount rates, and other valuation-related inputs used in financial reporting. Assist with treasury-related accounting projects, acquisitions, system implementations, and other strategic initiatives as required. Support analysis of new treasury-related transactions and accounting matters. Who you are: Bachelor's degree in Accounting, Finance, Business, Economics, Information Systems, or a related field. 5+ years of experience in treasury accounting, corporate accounting, treasury, finance, or a related function. Advanced SAP skills, including the ability to independently extract, analyze, reconcile, and troubleshoot financial data. Advanced Excel skills, including complex formulas, financial analysis, data manipulation, and model development. Experience accounting for or supporting debt instruments, foreign currency transactions, derivatives, hedging programs, or other complex financial instruments. Experience reviewing and analyzing balance sheet reconciliations, journal entries, and month-end close activities. Experience working in a multinational environment with multiple legal entities and significant intercompany activity. Experience working with shared service centers or outsourced accounting providers. Understanding of cash flow reporting concepts and the relationship between balance sheet, income statement, and cash flow activity. Ability to investigate accounting issues, identify root causes, and develop practical solutions. What's in it for you? Annual base salary range: $115,000.00- $125,000.00 Bonus target range: 20%-30% Generous benefits package including medical, dental, vision, life, disability. A company culture that prioritizes internal development and professional growth. Time off with pay. 401(k) plan with a degree of employer matching Paid parental leave Wellness programs and product discounts Please note, all offers presented to candidates are carefully crafted to ensure market competitiveness, equity, and reflect the individual candidate’s education, experience, skills and potential. Hunter Douglas is an Equal Opportunity Employer and complies with applicable employment laws. EOE/M/F/Vet/Disabled are encouraged to apply.
#LI-SA1
#L1 - ONSITE
By submitting your application below, you are providing your prior consent to receive SMS messages to notify you of any updates to your application status and to engage in discussion throughout your application process. You can cancel the SMS service at any time. Just text “STOP” to any of our texts to unsubscribe. Message & data rates may apply. Message frequency may vary. If you have any questions regarding privacy, please read our privacy policy, or terms of use- Senior Manager, Accounting The Inspire Brands Foundation currently supports the philanthropic efforts of Inspire Brands and its portfolio of... ...data transfers between systems (Salesforce, Accounting and Treasury). Own and troubleshoot Foundation accounting software, including...SuggestedTemporary workWork at office
- SENIOR MANAGER, ACCOUNTS RECEIVABLE Now partnering with a globally expanding organization that is building out a Shared Services function... ...multiple regions. The position will partner closely with Sales, Treasury, and Finance leadership to resolve complex customer issues,...SuggestedWorldwide
- About the Role The Senior Manager, Accounting Policy provides authoritative technical accounting guidance on complex and strategic transactions... ...colleagues and senior leadership across Accounting, FP&A, Treasury, Tax, Legal, HR, Fund Accounting, and business teams....SuggestedFull timeWork experience placementWork at officeFlexible hours
- ...are seeking a detail-oriented and analytical Treasury Analyst to support daily treasury operations, cash management, banking activities, forecasting, and compliance... ...reports for senior leadership across multiple bank accounts. Perform daily cash management, determines...SuggestedTemporary workLocal areaRemote workShift work
$63.6k - $107.25k
...other roles. A Brief Overview The Treasury Analyst completes routine Treasury functions... ...the Corporate Treasury and the Cash Management teams. What you will do Serve as... ...sufficient funds availability across accounts, including extraction and approval of wire...SuggestedPermanent employmentFull timeWork at officeRemote workRelocation- SENIOR MANAGER, ACCOUNTS RECEIVABLE Now partnering with a globally expanding organization that is building out a Shared Services function... ...multiple regions. The position will partner closely with Sales, Treasury, and Finance leadership to resolve complex customer issues,...For contractorsWork at officeLocal areaWorldwide
- ...is currently seeking a highly motivated Treasury Analyst Position Title: Treasury Analyst... ...report to the Director, Treasury or Treasury Manager and will support the Treasury Operations... ...This includes, but not limited to, bank account reconciliations and provide support on...Full timeFor contractorsWork experience placementImmediate start3 days per week
- ...customer's experience. Position Summary The Senior Treasury Analyst will play a key role in managing and enhancing the company’s Treasury operations across... ...risk management frameworks. Partner with Finance, Accounting, Risk, Legal, and Operations to ensure end-to-end alignment...Temporary workVisa sponsorshipWork visaMonday to FridayWeekend work
- ...Position Purpose The Treasury Analyst's primary role is to provide analytical/project support to the Treasury area. Key Responsibilities... ...treasury reporting (e.g. compliance documentation) 25% Managing bank accounts/documentation and bank fee analysis Resolving store related...Work experience placementInternshipNight shift
- ## Senior Treasury Analyst (Hybrid Atlanta, GA)Applyremote type: Remotelocations: Atlanta... ...both internal and external stakeholders, managing large data sets, and supporting... ...strive for excellence.* We hold ourselves accountable and expect it of each other. We attack problems...Work at officeLocal area
- ...multi-entity manufacturer on a new Senior Treasury Analyst addition to the team, to... ...influence liquidity strategy, financial risk management, and operational efficiency. Key... ...Qualifications Bachelor’s degree in Finance, Accounting, Business Administration, or related...Temporary work
- " Treasury Solutions Operations Analyst Overview The Treasury Solutions Operations Analyst role will be responsible for analyzing operational... ...workflow options Assist Treasury Solutions Operations Management team in the implementation Through assessing compatibility of...Contract workWork at office
- ...A professional services firm is seeking a highly motivated Treasury Analyst to support the Treasury Operations team in Atlanta, GA. The role involves daily reconciliations, cash positioning, and compliance maintenance. Ideal candidates will have a Bachelor's Degree and...Full time
- Work with a Top 20 CPA and advisory firm that Accounts for Anything. Key Responsibilities Own and manage the end-to-end monthly financial close cycle, from pre... ...without compromising accuracy. Oversee day-to-day treasury operations, including cash management and bank account...Shift work
- Ascensus is seeking a detail-oriented and analytical Treasury Analyst to support daily treasury operations and cash management. This role involves managing daily cash positions, preparing treasury reports for senior leadership, and ensuring compliance with internal controls...
- WestRock Company seeks a Senior Treasury Analyst to join the North America Group Treasury Operations team in Atlanta, GA. The role focuses on intercompany loans, bank account and signatory administration, and supporting payment approval workflows within SOX controls. You...
- Purchasing Power, LLC in Atlanta, GA, is seeking a Senior Treasury Analyst for a hybrid role with three days onsite. The role focuses on supporting structured finance activities, detailed reporting, and data integrity across financing facilities. Qualified candidates have...
- Renasant Bank is seeking a Treasury Solutions Operations Analyst to analyze operational processes and ensure compliance for Treasury Solutions... .... The position demands exceptional communication abilities to manage complex inquiries effectively. #J-18808-Ljbffr Renasant BankWork at office
- Job Summary CRH Treasury is continuing to grow and expand. A vacancy has arisen within the... ...'s treasury operations, cash management, liquidity forecasting and managing financial... ..., and database reporting Maintain bank account database and review authorized signers as...Local area
- ...Financial Services, Inc. in Atlanta, GA, is seeking a Senior Treasury Analyst to lead cash management, forecasting, securitizations, and funding programs,... ...and governance. You will partner with Finance, Accounting, Risk, Legal, and Operations, delivering insights to senior...
$172.5k - $233k
...globally and optimize our tiered delivery model, the Group Manager, Supplier Operations & Accounts Payable will play a critical leadership role in... ...resources. Partner closely with Finance, Controllership, Treasury, Technology, and Sourcing to align process design with...- Stellantis Financial Services, Inc. in Atlanta seeks a Treasury Analyst to support cash management, liquidity reporting, funding operations and financial analysis. The role offers rotational exposure across Capital Markets, Reporting & Analytics, Capital Planning, Risk...
- A growing captive finance company is seeking a Treasury Manager to support and enhance its treasury, cash management, and capital markets operations... ...monitoring daily cash positions and liquidity. Oversee bank account lifecycle activities such as account openings, documentation,...
- ...drive financial transparency, operational accountability, and scalable processes as the... ..., operational finance, and performance management. Develop annual operating plans and long... ...Collaborate with Corporate Finance, Tax, Treasury, and international counterparts. Champion...Full timeWork at officeImmediate start
- The Senior Manager - ICR Accounting leads the Company’s end-to-end accounting for company-owned stores, including the order to cash processes,... ...communicated to the operations teams. Partner with operations, FP&A, treasury, IT, and corporate accounting teams. Coordinate and deliver...Shift work
- ...Opportunity We are seeking an AVP Middle Office Manager to lead the trade lifecycle from capture... ...and Equities), Compliance, Risk, and Accounting. This role is ideal for a forward‑... ...improvement. Serve as a liaison across Treasury, Risk, Compliance, and IT to ensure alignment...Work at officeLocal areaFlexible hours
- ...Role We are seeking an AVP Middle Office Manager to lead the trade lifecycle from capture... ...and Equities), Compliance, Risk, and Accounting. This role is ideal for a forward‑thinking... ...improvement. Serve as a liaison across Treasury, Risk, Compliance, and IT to align strategic...Work at officeLocal area
- Truist is seeking a Sales Analyst to support Wholesale Payments strategy, execution, risk, and performance initiatives in Atlanta. The role emphasizes collaboration with relationship teams to drive portfolio planning, client meetings, and definitive post‑call actions. You...
- ...for a Principal Financial Analyst specializing in Risk Control and Treasury in Atlanta, Georgia. The role includes monitoring risks associated with asset optimization and trading activities, managing a substantial debt portfolio, and ensuring compliance with risk policies...
- CRH in Atlanta is looking for a Senior Treasury Analyst to join their Americas Treasury team. This role supports treasury operations, cash management, and financial risk analysis for a large organization. The successful candidate will manage cash positions, prepare reports...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Manager, Treasury Accounting. Be the first to apply!
- senior manager corporate accounting Atlanta, GA
- director of finance & accounting Atlanta, GA
- accounting manager supervisor Atlanta, GA
- cost accounting manager Atlanta, GA
- group account director Atlanta, GA
- account supervisor Atlanta, GA
- director technical accounting Atlanta, GA
- director of revenue accounting Atlanta, GA
- financial accounting manager Atlanta, GA
- director account management Atlanta, GA

