To Apply for this Job Click Here
Position Summary: The Cash Management Analyst will support daily cash management, funds processing, banking activity, and account reconciliation for a large organization. This position will work closely with accounting, tax, legal, operations, and technology teams to ensure transactions are processed accurately, securely, and in line with internal controls.
Key Responsibilities:
- Prepare, review, approve, and process domestic and international wire transfers
- Fund bank accounts based on daily business needs
- Manage check activity across multiple business entities and track outstanding checks
- Monitor and reconcile bank activity against internal systems
- Research and resolve transaction discrepancies
- Coordinate with internal verification teams to support timely wire processing
- Review general ledger coding and supporting documentation for transactions and intercompany payments
- Partner with legal and banking contacts to support the opening and maintenance of bank accounts
- Follow internal cash management policies, operating procedures, and regulatory requirements
- Support audits, internal control reviews, and system enhancement projects
- Contribute to automation and process improvement initiatives
- Work with technology teams to improve funds transfer workflows, reporting, and exception monitoring
Qualifications:
- 2+ years of experience in cash management, treasury, funds processing, banking operations, financial operations, or a related area
- Experience processing transactions in a high-volume environment
- Strong attention to detail and organizational skills
- Ability to identify discrepancies and resolve issues quickly
- Strong written and verbal communication skills
- Ability to handle confidential financial information
- Proficiency with Microsoft Excel required; VBA experience is a plus
- Experience within a bank, financial institution, or middle- or back-office environment preferred
- Associate’s or bachelor’s degree preferred
F-1423503-GJH_1786544409
