As a Senior Cash Management Specialist, you will play a critical role in managing the company’s cash flow, liquidity, and banking relationships, while driving improvements in treasury processes. You will be responsible for forecasting cash needs, optimizing cash management systems, and preparing detailed cash reports to support informed decision-making. Working independently, you will have the autonomy to recommend procedural changes and lead initiatives aimed at enhancing efficiency and accuracy in cash operations. You will also maintain compliance with internal controls and treasury policies, ensuring that all processes meet organizational and regulatory standards.
In addition, you will guide and mentor junior staff, helping to build their expertise and overseeing their work to ensure high-quality execution. This role offers opportunities to lead smaller treasury projects, collaborate with cross-functional teams, and contribute to the broader financial strategy of the organization. By managing key treasury functions, you will help safeguard the company’s financial health and strengthen its ability to meet strategic objectives.
Our Flexible Future model offers a healthy mix of working in person and virtually, strengthening key elements of the Chick-fil-A culture by fostering collaboration and community.