Treasury Analyst
Who are we and what do we do?
Atlanta-based Edible Brands® acquires, develops and manages a world-class portfolio of consumer brands renowned in the hospitality and foodservice sectors. Edible Brands has skillfully integrated an innovative e-commerce platform with a robust network of locally owned stores worldwide to meet consumers where they are.
Edible Brands' growing portfolio includes Edible Arrangements®, edible.com®, edibles.com®, freshfruit.com™ and Rōti® Modern Mediterranean.
Purpose:
We are seeking a detail-oriented Treasury Accountant to manage daily cash operations, bank reconciliations, and treasury transactions. This role will ensure accurate cash reporting, maintain strong internal controls, and support cash flow forecasting.
Location: This position will work onsite out of our Corporate Office in Sandy Springs, GA Monday – Friday.
What That Looks Like Day to Day
Manage daily cash positioning by monitoring and reconciling all cash transactions across multiple bank accountsPrepare and reconcile bank statements to ensure accuracy between the general ledger and treasury recordsAssist with cash flow forecasting by analyzing daily cash movements and projecting liquidity needsEnsure compliance with banking agreements and treasury policies, maintaining strong internal controlsProcess and record treasury transactions, including wire transfers, ACH payments, and intercompany fund movementsWork cross-functionally with AP/AR to ensure accurate payment processing and cash applicationSupport month-end close for treasury-related activities, preparing reconciliations and journal entriesManage relationships with banking partners, resolving transaction discrepancies and monitoring banking feesProvide input on process improvements to enhance treasury operations and reporting accuracySupport treasury technology initiatives, including the use of banking portals and treasury management systems
Required Experience
5+ years of experience in treasury accounting, corporate accounting, or cash managementStrong bank reconciliation and cash reporting experienceExperience with treasury operations, including payment processing and cash forecastingProficiency in treasury management systems (TMS), banking portals, and ERP systems (e.g., Great Plains, QuickBooks, SAP)Strong Excel skills for cash analysis and reportingBachelor's degree in Accounting, Finance, or a related field
Essential Competencies
Ability to manage high volumes of transactional activity while maintaining accuracyStrong problem-solving skills with a keen eye for discrepancies in financial recordsAbility to work cross-functionally and communicate effectively with finance, AP/AR, and banking partnersDetail-oriented with a high level of accuracy and organizational skills
What We Offer:
An onsite work environment with work-from-home flexibility, fostering collaboration and relationship building with peers, cross-functional partners, and leadership The stability and resources of an industry-leading company successfully operating for 25 years, with the agility and innovation of a startup, allowing you to make a significant impact and shape our future. Growth & Development – Each team member has a visible and immediate impact on the business, offering abundant opportunities for personal and professional growth as we scale in size and sophistication Healthcare plans that include health/dental/vision insurance, 401K Plan, company-paid life insurance and short-term disability, flexible spending account options and more Paid time off, including sick days & holidays to support work-life balance
We are proud to be an EEO/AA employer. Applicants for employment are considered without regard to race, creed, color, religion, sex, sexual orientation, marital status, national origin, age, and disability, status as a veteran, Vietnam Era Veteran, or being a member of the Reserves or National Guard.