Senior Manager, Financial Corporate Risk
The Coca-Cola Company seeks a strategic finance professional to partner within the Corporate Controller’s Group and Corporate Treasury’s Risk Management team. This role ensures accurate financial reporting, insightful analysis, and effective governance for captive insurance entities and related risk management activities, combining technical accounting expertise, investment and insurance analysis, and business partnering skills.
Responsibilities
- Oversee monthly financial reporting processes for captive insurance companies and corporate risk units, including review of general ledger postings, reconciliations, and narratives to ensure accurate and compliant results.
- Lead the preparation of annual Business Plan and Rolling Estimates for risk management operations, integrating market, insurance, and investment perspectives.
- Analyze financial performance areas including underwriting results, realized and unrealized portfolio gains/losses, dividend income, and other investment-related income streams; deliver insights to Corporate Treasury, Risk Management leadership, and relevant stakeholders.
- Record derivative-related general ledger activity initiated in treasury systems, ensuring accurate data flow between Reval and SAP.
- Prepare quarterly cash flow statements, balance sheet narratives, and detailed variance analyses for captive reporting units.
- Develop key sections of the monthly risk management reporting package and present findings to captive boards and senior leadership as needed.
- Prepare the Investment Footnote for inclusion in SEC filings (10-K and 10-Q), ensuring timely and accurate disclosures.
- Conduct insurance reserve analyses and collaborate with actuaries, custodians, and third-party service providers to validate assumptions and financial impact.
- Research and apply technical accounting guidance to ensure GAAP and statutory compliance for new and existing risk transactions.
- Partner with internal finance operations and relevant business units to ensure accurate accounting of third-party and intercompany transactions for premiums, claims, and related activity across U.S. GAAP and statutory ledgers.
- Respond to ad-hoc requests and deliver actionable insights to the Risk Management leadership team and Corporate Treasury.
- Prepare audit-ready documentation and coordinate responses for internal and external audits as well as Corporate Tax review processes.
Requirements
- Bachelor’s degree in Accounting, Finance, or related field; CPA or advanced accounting qualification preferred.
- 5+ years of progressive experience in accounting, financial reporting, and analysis; prior experience in treasury, risk management, or insurance accounting a strong plus.
- Advanced knowledge of U.S. GAAP with ability to research and apply technical accounting standards; knowledge of statutory reporting is a plus.
- Strong understanding of captive insurance operations, insurance reserves, investment accounting, and related treasury activities.
- Demonstrated proficiency in financial analysis, including P&L variance, ROI, and complex investment performance metrics.
- Familiarity with financial systems such as SAP and treasury applications.
- Strong capability in developing insights from financial data, preparing executive-level reporting, and influencing decisions through clear recommendations.
- Proven track record of delivering on multiple priorities in a matrixed, fast-paced environment.
- Exceptional written and verbal communication skills with the ability to explain complex technical concepts to non-technical audiences.
- High attention to detail combined with strategic thinking; able to operate independently with sound judgment and collaborative mindset.
Benefits
- Opportunities to lead financial reporting for high-impact corporate risk activities with enterprise visibility.
- Access to advanced treasury and financial systems to deepen expertise in risk-sensitive environments.
- Cross-functional partnerships with Treasury, Tax, Legal, and Finance teams, expanding exposure to global risk and investment strategies.
- Platform for long-term career growth through complex projects spanning insurance, derivatives, and risk-related financial frameworks.
- Full range of medical, financial, and other benefits.
Pay
Base pay range: $123,000 – $139,000 USD. Offer may vary depending on geography, job-related knowledge, skills, and experience.
Annual Incentive reference value: 15% (market-based competitive value for the role, indicating performance at target).
Long-term Incentive reference value: 0% – 20%.
Schedule
- Travel required: 0% – 25%.
- Location: Atlanta, United States of America.
- Relocation not provided.
Applicants must be currently authorized to work in the United States on a full-time basis without requiring sponsorship.