The Cash Analyst supports the Treasury Director in the execution of daily cash management operations and short-term liquidity forecasting. This role is critical for ensuring the company maintains sufficient operational funding and disciplined financial execution. The Analyst will manage daily cash positioning, execute funding transfers, support cash flow modeling, and assist in maintaining tight internal controls.The ideal candidate possesses exceptional attention to detail, a critical-thinking mindset, and the ability to investigate financial discrepancies independently.
Key Responsibilities
A/P Image Search Requests: Research and fulfill image search requests from the Accounts Payable team, pulling check images, paid drafts, or electronic remittance details from banking portals.
Month-End Close Execution: Active contributor to the month-end close process, preparing and posting the appropriate journal entries corresponding to processed cash payments and treasury transactions.
Skills & Qualifications