
Sr Accountant, Corp Cash Management
Job Description
Senior Accountant – Corporate Cash Management
About the Role
We’re looking for a Senior Accountant who will play a key role in managing and protecting the company’s cash across a large, complex organization. In this role, you’ll own daily cash visibility, partner closely with Treasury and Accounting leadership, and help ensure our cash processes are accurate, well-controlled, and continuously improving.
This is a great opportunity for someone who enjoys both hands-on accounting work and process improvement, and who wants to have a direct impact on liquidity, forecasting, and financial reporting.
What You’ll Do
Cash Management & Treasury Operations
- Manage daily cash activity across multiple bank accounts and entities, ensuring accuracy and completeness
- Perform and oversee bank reconciliations, investigate discrepancies, and resolve issues quickly
- Prepare and share daily cash position reports, highlighting trends, risks, and recommended actions
- Execute cash movements (transfers, wires, ACH, investments) with appropriate approvals and documentation
- Support cash flow forecasting by analyzing trends and identifying key drivers of variance
- Serve as a key contact for banking partners and internal teams, helping resolve complex issues
Credit & Loan Activity
- Monitor and reconcile loan and credit facility activity to ensure timely payments and accurate tracking
- Calculate and review interest related to loans and credit agreements
Accounting, Reporting & Compliance
- Prepare and review journal entries for cash, debt, and treasury transactions
- Own balance sheet reconciliations for cash and related accounts, ensuring accuracy and timely resolution of discrepancies
- Lead cash-related month-end close activities and coordinate with cross-functional teams
- Support internal and external audits by preparing documentation and responding to requests
- Ensure compliance with internal controls and banking policies; proactively identify and improve control gaps
- Partner with Treasury on bank account management, fee analysis, and process documentation
Process Improvement & Systems
- Identify opportunities to improve and automate cash management and reconciliation processes
- Support enhancements to ERP and treasury systems, including testing and implementation
- Contribute to cross-functional initiatives related to cash flow, reporting, and controls
- Share knowledge and provide informal guidance to team members as needed
What You Bring
Experience
- 5+ years of experience in corporate accounting, treasury, or cash management
- Experience in a large or complex organization with multiple entities and bank accounts is a plus
- Familiarity with ERP systems (Oracle, M3, Adage, or similar); experience with system improvements or implementations is helpful
Skills & Strengths
- Strong understanding of cash management, banking operations, and accounting principles
- Advanced Excel skills and comfort working with large data sets
- Detail-oriented with strong analytical and problem-solving skills
- Able to manage multiple priorities and meet deadlines in a fast-paced environment
- Strong communication skills and the ability to work effectively across teams and with external partners
Education
- Bachelor’s degree in Accounting or a related field (or equivalent experience)
Additional Information
- This is an individual contributor role with no direct reports
- Work is performed in a standard office environment, with flexibility for reasonable accommodations
- We are committed to maintaining a safe, respectful, and compliant workplace
Why This Role Matters
In this role, your work directly supports the company’s financial stability and decision-making. You’ll help ensure we have clear visibility into our cash position, strong controls in place, and efficient processes that scale with the business.