Cash Management Specialist

in Professional Services
  • New York City, New York View on Map
  • Salary: $40.00 - $40.00
Contract

Job Detail

  • Experience Level Staff
  • Degree Type Bachelor of Science (BS)
  • Employment Contract
  • Working Type On Site
  • Job Reference 0000020718
  • Salary Type Hourly
  • Industry Import and Export
  • Selling Points

    Contribute to critical cash management operations in a dynamic environment. Enhance your corporate finance expertise with hands-on treasury responsibilities. Collaborate with professionals in a multicultural business setting.

Job Description

Cash Management Overview

  • The Cash Management role focuses on overseeing daily cash operations and ensuring efficient financial transactions.
  • This is a contract position with a duration of approximately six weeks, with potential extension.
  • The role requires full-time onsite work, Monday through Friday, at the client’s headquarters.
  • You will collaborate with Treasury personnel to ensure accurate cash positioning and fund transfers.
  • The position involves preparing analytic reports and supporting cash management functions for business units and subsidiaries.
  • Ideal candidates will have a strong background in finance or accounting and excellent communication skills.
  • This role offers an opportunity to gain hands-on experience in corporate finance operations.
  • Candidates should be proficient in Microsoft Excel and Word, with knowledge of cash management processes.

Cash Management Key Responsibilities & Duties

  • Monitor intra-day cash activity using treasury and banking platforms, updating daily cash position worksheets.
  • Reconcile prior-day cash activity using bank statements and treasury reports, ensuring accuracy in cash position worksheets.
  • Prepare spot foreign exchange transactions to support non-USD payment requirements.
  • Review intra-day bank activity to ensure timely processing of approved and forecasted payments.
  • Prepare bank-to-bank and intercompany fund transfer requests for execution by authorized personnel.
  • Provide cash management support to business units and subsidiaries, ensuring operational efficiency.
  • Assist in creating analytic reports for management to support decision-making processes.
  • Investigate and resolve discrepancies in cash transactions and account balances.

Cash Management Job Requirements

  • Bachelor's degree in Finance or Accounting, or equivalent professional experience required.
  • Minimum of two years of corporate accounting or finance experience, preferably with tenure at one company.
  • Knowledge of basic accounting principles, including general ledger entries, is essential.
  • Foundational understanding of corporate finance and cash management processes required.
  • Proficiency in Microsoft Excel and Word is mandatory for this role.
  • Strong written and verbal communication skills are necessary to succeed in a multicultural business environment.
  • Experience in account reconciliation and cash management is preferred.
  • Ability to work onsite full-time, adhering to a structured schedule.
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