The Coca-Cola Company logo

Senior Manager, Financial Services

The Coca-Cola Company

Atlanta, GA · HybridJobSeen 1w agoSeen in employer's feed 3 days ago

Most applications go out cold — see where you stand first. No sign-up to start.

Watch jobs like this.

At a glance

Compensation
No compensation found
Location
Atlanta, GAHybrid
Work Authorization
Not specified

Olive lists jobs from US employers, including remote roles you can work from the United States.

Requirements

Credentials this posting asks for.

Bachelor's degree

Job overview

The Senior Manager, Financial Services will lead financial planning, forecasting, and analysis for North America’s Dispensed business, focusing on key quick-serve and on-premise accounts. The role oversees period close, budgeting, revenue accounting, and provides cross‑functional financial services, acting as a bridge between commercial, finance, and order‑to‑cash teams.

Skills & qualifications

RequiredNice to have

Skills

GAAPInternal ControlsLeadershipAdvanced PlanningFinancial AnalysisInfluenceOral CommunicationWritten CommunicationProblem SolvingPrioritizationMicrosoft OfficeExcelPowerPointOutlookSAPHyperionBI Tools

Qualifications

Bachelor's Degree in Finance, Accounting, Economics, or BusinessMaster's Degree (Preferred)5+ Years Finance Planning, Business Planning, or Forecasting Experience

Full job description

This role will manage financial planning, forecasting, and analysis activities for the North America Operating Unit Dispensed business with focus on national key accounts in the Quick-Serve and On-Premise channels. This role will support the North America Operating Unit finance and sales teams to enable decision making, identify risks and opportunities, and contribute to the achievement of the organization’s financial goals.

The Senior Manager, Finance Services will provide end-to-end financial ownership and operational support for complex Foodservice and On-Premise customers. This role will oversee period close activities, revenue and expense accounting, accruals, budgeting, and financial analysis while ensuring contractual commitments are accurately reflected in financial results. The position serves as a critical bridge between Commercial, Finance, Order-To-Cash, and customer-facing teams.

What You'll Do for US:

Key duties include Annual Business Plan and four Rolling estimates a year, conduct volume and financial trend analysis and communicate risks and opportunities to peers and the leadership team. Role will also entail monitoring financial policies and procedures to ensure adequate financial controls exist and find innovative solutions to create efficiencies between the North America Operating Unit and other towers within the Order-To-Cash Finance organization.

  • Delivery of financial services to cross-functional clients in sales and finance.

  • Manage the annual business plan process, rolling estimates, and monthly risk & opportunities.

  • Analyze monthly trends and communicate to leadership.

  • Perform month end and year end accrual activities.

  • Manage and improve key accounting and control processes.

  • Perform business consulting, financial analysis, and special project support for customer success.

Knowledge/Skills/Abilities:

Understanding of Company policies, procedures, and organization. Knowledge of GAAP and internal controls. Strong leadership skills. Advanced planning and financial analysis skills. Ability to influence various levels of management with effective oral and written communication skills. Ability to work in a fast-paced, high-performance, cross-functional skill team environment while managing multiple priorities, making decisions, and demonstrating effective problem-solving skills. Proficiency in the use of all Microsoft Office applications.

Qualification & Requirements:

.

  • Bachelor’s degree in Finance, Accounting, Economics, or Business ; Master’s degree preferred.

  • Minimum 5+ years in roles focused on finance, business planning, and/or forecasting.

  • Proven ability to manage planning cycles, month-end/year-end close, and performance analytics .

  • Strong knowledge of GAAP, internal controls , and multi-channel revenue accounting.

  • Advanced proficiency in Microsoft Office (Excel, PowerPoint, Outlook) ; experience in SAP, Hyperion, and BI tools a plus.

  • Exceptional communication and storytelling skills—able to synthesize complex finance data into strategic recommendations for non-financial audiences.

  • Strong leadership, problem-solving, and prioritization skills with ability to navigate ambiguity and influence cross-functional teams.

What We’ll Do for You

  • Provide global-scale tools and platforms, including automation and analytics solutions , to optimize planning accuracy

  • Connect you with cross-functional teams across North America , expanding your visibility and development opportunities.

  • Offer an inclusive culture emphasizing continuous learning, innovation, and agility in a fast-moving business environment.

Location:

Atlanta, GA

Work Model:

Hybrid (3 days onsite / 2 days remote)

Role Type:

Individual Contributor (End-to-End Financial Ownership)

We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state or local protected class.

Similar jobs, posted recently

Open roles like this one, listed in the last 30 days.

You've read the whole posting — now see how you match it.