Cash Accountant Resume Samples

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GS
G Strosin
Guillermo
Strosin
39667 Adelbert Grove
San Francisco
CA
+1 (555) 982 9875
39667 Adelbert Grove
San Francisco
CA
Phone
p +1 (555) 982 9875
Experience Experience
Phoenix, AZ
Cash Accountant
Phoenix, AZ
Herzog, Veum and Dare
Phoenix, AZ
Cash Accountant
  • Provide updates on cash balances to management on a weekly basis
  • Assist with providing wire confirmations
  • Assist SBUs and corporate departments in resolving routine requests or inquiries regarding cash management
  • Support continuous process improvements to treasury workstation functions
  • Perform other duties and participate in special projects as assigned
  • Maintain and provide timely and accurate reconciliation of the cash GL accounts
  • Assist IT Personnel
Dallas, TX
Order to Cash Accountant
Dallas, TX
Wehner-Carroll
Dallas, TX
Order to Cash Accountant
  • Cash management (forecasting, cash budgeting)
  • Assist with daily Payment authorizations
  • Adhere to the GE cash management policy including AML
  • Supportcore accounting and reporting, including account reconciliations and month-end close activities
  • Support in metrics preparation including volumes and ageing of debtors
  • Ensuring compliant distribution of customer invoices
  • Support Buy to Pay, Payroll, Stat to Tax and other Enterprise Standards in ensuring payments are loaded, validated and made promptly
present
Phoenix, AZ
Senior Cash Accountant
Phoenix, AZ
Mayert, McGlynn and Champlin
present
Phoenix, AZ
Senior Cash Accountant
present
  • International currency work includes calculating currency translation and accounting for exchange rate fluctuations
  • Create postings for cash transactions
  • Perform month-end closing duties for treasury
  • Look for ways to improve procedures for better more effective and efficient processing
  • Plenty of special projects!
  • Frequent Interface with customers to resolve issues, with outside banking representatives as well as to respond to outside auditor queries
  • Strong software proficiency including Microsoft Excel and Word
Education Education
Bachelor’s Degree in Business Administration
Bachelor’s Degree in Business Administration
University of California, San Diego
Bachelor’s Degree in Business Administration
Skills Skills
  • Proficient in basic computer skills (Excel, Word, Outlook), with strong focus on spreadsheet applications
  • Strong attention to detail with emphasis on accuracy
  • Strong attention to detail
  • Solid analytical skills
  • Ability to manage multiple tasks simultaneously and work independently
  • Microsoft Excel proficient
  • Strong analytical and problem solving skills
  • Great interpersonal skills
  • Excellent communication skills (written and verbal)
  • Possesses sound communications skills, being able to clearly articulate points in a concise manner
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15 Cash Accountant resume templates

1

Cash Accountant Resume Examples & Samples

  • Experience working in a multinational company
  • Part Qualified ACA/ACCA/CIMA
  • Shared Service experience
2

Global Credit to Cash Accountant Resume Examples & Samples

  • Post transactions for company loans, deposit, FX hedging (if applicable)
  • Perform bank accounting
  • Perform period end activities
  • Accounts Receivable, Handle incoming payments
  • Administration & Organizing Skills
  • Ericsson Knowledge
  • Teamworking Skills
3

Global Credit to Cash Accountant Stage Resume Examples & Samples

  • Prepare manual payments
  • Perform netting (only for LME)
  • General Ledger Accounting and Period-end Closing, Reconcile Accounts – with AssureNET tool
  • English Skills
  • B.Com
  • A degree in Business Administration or the equivalent experience
4

Cash Accountant Resume Examples & Samples

  • 50% of Time
  • 20% of Time
  • 15% of Time
5

Cash Accountant Resume Examples & Samples

  • Ensure the clearing of checks and deposits/receipts on a daily basis
  • Research and analyze daily bank deposits to identify any discrepancies
  • Ensure that checks received are timely deposited to the bank and to the correct bank account – following up timely with appropriate party to do so
  • Communicating with various departments such as Community Managers, Treasury, and General Ledger Accountants regarding any deposit discrepancies
  • Communicate effectively with supervisors regarding significant variances on cash reconciling items
  • Prepare monthly bank reconciliations in a timely manner
  • Assist with other ad hoc requests and reports as needed
6

Cash Accountant Resume Examples & Samples

  • The role will be involve processing reconciliations and reporting weekly & monthly
  • Ensuring compliance procedures are adhered to
  • System maintenance & resolving issues
  • Accounts Payable ledger
  • Various Ad-hoc responsibilities
7

Cash Accountant Resume Examples & Samples

  • Prepare and record of box office journal entries
  • Prepare weekly AR tracking reports
  • Maintain and distribute regional event listing
  • Prepare banking deposits including check scanning
  • Handle event cash ordering and redeposits
  • Enforce adherance to cash handling policies
  • Daily banking and credit card statement downloads
  • Chargeback monitoring
  • Assist with providing wire confirmations
  • Assist with positive pay check entry and exception check follow up
8

Cash Accountant Resume Examples & Samples

  • Month end closing process
  • Reconciles balance sheet accounts
  • Monthly financial reports
  • Quarterly and annual reports
  • Maintain cash forecast
  • Monthly sales tax reports
  • Prepare documents and information required for the annual audit
  • Bachelor’s in accounting or related field
  • Minimum of one year experience
  • Strong interpersonal, organizational, and communication skills
  • Ability to multi-task while maintaining a high degree of accuracy and attention to detail
  • Cash Accounting experience in Retail
  • Knowledge of Microsoft Excel and accounting software systems
9

Cash Accountant Resume Examples & Samples

  • Opening and maintaining bank accounts
  • Daily cash balance reports
  • Transmitting positive pay files daily
  • Bank deposits via remote deposit capture
  • Variances between the payment processor, facilities, bank and general ledger
  • Bank reconciliations for month-end close
  • Intercompany cash transfers
  • Posting all wire transfers and ACH payments
  • Other projects/duties as assigned
  • Minimum of one year experience in cash / bank reconciliation processes
  • Healthcare experience and experience in a multi-entity environment preferred
  • Proficiency with e-mail and Microsoft Office applications, including strong Excel capability
10

Global Credit to Cash Accountant Resume Examples & Samples

  • Post company loans, deposit FX hedging
  • Assign to correct liquidity item
  • Validate actual Cash Flow report
  • Negotiate bank conditions
  • Manage bank accounts
  • Ericsson-wide knowledge & skills (from other Functional Areas)
  • Adapting & Responding to Change
  • Analysing
  • Delivering Results & Meeting Customer Expectations
  • Leading & Supervising
  • Relating & Networking
  • Minimum Qualifications & Experience Requirements
  • Preferred Qualifications & Experience Requirements
11

Senior Cash Accountant Resume Examples & Samples

  • Serve as ‘go-to’ for questions from associates on the team, participate with coaching training and mentoring staff as needed
  • Review and ensure accurate posting of high volume of all incoming cash transactions
  • Reconcile, and research and resolve any discrepancies or unapplied transactions
  • Frequent Interface with customers to resolve issues, with outside banking representatives as well as to respond to outside auditor queries
  • International currency work includes calculating currency translation and accounting for exchange rate fluctuations
  • Look for ways to improve procedures for better more effective and efficient processing
  • Plenty of special projects!
12

Collections & Cash Accountant Assistant Resume Examples & Samples

  • 1-2 years of related experience
  • Strong understanding of basic journal entries
  • Collections experience
  • Familiarity with Aged Delinquency Reports
13

Treasury / Cash Accountant Resume Examples & Samples

  • Coding expenses, maintaining system/changing passwords
  • AR and cash application
  • Handle and prioritize multiple contemporaneous tasks and projects
  • Advanced Excel skills (Pivot Tables, V lookups)
  • Professional communicate (both in writing and verbally) with people at all levels in the company
  • Strong understanding of the fundamentals of accounting and finance
  • Knowledge of cash management principles, systems, procedures, and standards
  • Ability to use independent judgment and to manage and impart information to a range of clientele and/or media sources
14

Tax & Treasury / Cash Accountant Resume Examples & Samples

  • Preparation of annual Return to Provision reconciliation for all E&A entities
  • Preparation of Transfer Pricing calculations for all ICF Entities within E&A together with the associated quarterly tax provision based on approved transfer pricing adjustment
  • Completion and submission of annual FORM 42 to HMRC
  • Preparation and submission of annual STBV (Short Term Business Visitors) to HMRC
  • Assist the Tax Lead with Permanent Establishment (PE) monitoring
  • Reconciliation of Tax Balance Sheet accounts (CIT, WHT)
  • Developing cash flow forecasts and related templates across EA (all entities)
  • Assimilate and produce monthly EA wide bank account and cash flow reporting and associated detailed analysis and forecasting. Similarly produce and disseminate analysis of Accounts Receivable, Working in Progress and Billings statistic to the business
  • Working with Project Controllers and Business leadership on the understanding of and minimisation of Accounts Receivable and Work in Progress positions, including the minimisation of Days Sales Outstanding (DSO) performance for EA
  • Working with Corporate Treasury on the monitoring of hedges and assist with related reporting and control
  • Managing the process for obtaining and monitoring of project guarantees and preparing reports to the Corporate Treasury
  • Work with Corporate Tax and Corporate Treasury in tracking and settlement of intercompany positions
  • 5+ years’ experience in working in a cash management and Accounts Receivable /Working in Progress orientated role
  • Demonstrable experience in cash flow forecasting/managing or producing cash flow models in a multi-currency, multi-location environment
  • Corporate Tax and Tax Accounting experience is desirable
  • Experience of tax provisioning
  • Knowledge of BACS, CHAPS and SWIFT
  • Knowledge of HSBCnet and ING Isabel banking platforms
  • Awareness of hedging products and project guarantees
  • Working in a large corporate team or regional division of a large corporate organisation
  • Experience of Tax computation software e.g. Alpha Tax
  • A degree or equivalent in Business Administration, Finance or a related field
  • Excellent Microsoft skills, particularly excel
  • Full or Part Qualified Accountant would be preferred (ACA/ACCA/ACMA/CPAATT/CTA)
  • Excellent interpersonal skills including courtesy, professionalism, and a cooperative manner
  • Team player with excellent time management skills and the ability to work in a fast-paced environment
  • Ability to be flexible to handle multiple priorities and to work limited overtime as necessary
  • Ability to work with all levels of internal staff, as well as outside clients and vendors
15

Cash Accountant Resume Examples & Samples

  • Reconciliation of large cash accounts on a monthly basis
  • Closing the GL monthly
  • Complex ad hoc reporting
  • Special year end reporting projects
  • Oracle or large ERP system experience strongly preferred
16

Global Credit to Cash Accountant Resume Examples & Samples

  • Perform bank accounting and bank reconciliations
  • Relevant experience in Banking & AR accounting
  • Bachelor of Commerce
  • MBA Finance
17

Order to Cash Accountant Resume Examples & Samples

  • Responsibility over customer invoice creation
  • Ensuring compliant distribution of customer invoices
  • Customer collections and dispute resolution
  • Cash and receipts application
  • Support in metrics preparation including volumes and ageing od debtors
  • Supportcore accounting and reporting, including account reconciliations and month-end close activities
  • Bank and cash Reconciliation
  • Cash management (forecasting, cash budgeting)
  • Ensure optimal funding of bank accounts including capital injection, funding and repatriation
  • Ad hoc projects as needed, including simplification/process improvements and projects
  • Provide support and back-up assistance to other Invoice to Cash Finance team members, as needed
  • Support Buy to Pay, Payroll, Stat to Tax and other Enterprise Standards in ensuring payments are loaded, validated and made promptly
  • Prepare the monthly Journal entries
  • Keep abreast of changes, amendments and updates to local banking laws, Exchange and Treasury Controls to ensure that GE business operates smoothly and is compliant
  • Adhere to the GE cash management policy including AML
  • Assist with daily Payment authorizations
  • Other ad hoc support
  • Degree in Accounting and a Professional Qualification (e.g. ACCA, CIMA or CPA)
  • At least 3 years of relevant working experience in a fast paced finance department
  • Working knowledge of US GAAP, local reporting requirements (IFRS), ERP or systems (e.g. Oracle, Navision) and finance operation processes and controls
  • Fluency in French or Spanish would be an added advantage
  • Strong quantitative/analytical skills
  • Ability to convey analytical needs and/or results to partners and stakeholders with limited subject matter expertise
  • Integrity, positive attitude and highly motivated to succeed
  • Resourceful, open-minded and embraces change and challenges
  • Strong performance and people orientation with demonstrated team skills or potential to lead
  • Good communication and facilitation skills
  • Ability to work in a cross functional or business and global team
18

Cash Accountant Resume Examples & Samples

  • Posting cash transactions and reconcile bank accounts
  • Prepare journal entries for all companies
  • Check status of paid checks and EFTs
  • Void checks from bank website
  • Submit safepay and EFT file to the bank
  • Perform Month-end closing duties
  • New Vendor Set Up
  • Returned checks
19

Cash Accountant Resume Examples & Samples

  • Participate in month end close process for area
  • Prepare, verify, code and post journal entries to the general ledger for cash and other accounts, as assigned
  • Prepare and update monthly bank reconciliations for assigned accounts by determined monthly deadlines
  • Communicates with affiliates as needed to perform reconciliation process. Analyze and document variances and proposed resolution for review
  • Perform research in response to questions from divisional accounting offices
  • Assist in preparation of schedules, management reports and other accounting data required for internal and external reporting
  • Possess and demonstrates excellent organizational, interpersonal, facilitation, oral and written communications skills
  • Must be detailed oriented – with strong attention to accuracy and problem solving. “Following-up until resolved” skills are a must
  • Skills in Microsoft office ( Word, Excel, Powerpoint, Outlook, etc.)
  • Minimum 2-3 years of related experience, in an accounting/financial analysis role
20

Cash Accountant Resume Examples & Samples

  • Running cash reports
  • Managing daily cash activity
  • Analyzing monthly bank statements
  • Processing credit card payments
  • The ideal candidate for this role has 1+ year of relevant experience
21

Order to Cash Accountant Resume Examples & Samples

  • Responsibility over customer invoice creation (both inter-company and external invoices)
  • Interface invoices with e-invoice system and ensure tax compliance on non e-invoice customers
  • Write-off, Adjustments, Deductions & Penalties if needed for all invoices
  • Cash and receipts application plus credit note applications (both inter-company and external invoices)
  • Support in metrics preparation including volumes and ageing of debtors
  • Preparation of invoice level detail (ILD) reports for the business; sales tax reports and re-aging where applicable
  • Support core accounting and reporting, including account reconciliations and month-end close activities
  • Quarterly customer reconciliations
  • VAT declaration (BS)
  • Provide support and back-up assistance to other Order to Cash Finance team members, as needed
  • Prepare the monthly Journal entries including review of amortizations for warranties
  • External & internal Audit support – noted will add
  • Commission, Standard warranty, Extended Warranty, penalties & Concessions, BDR support
  • Working knowledge of US GAAP, local reporting requirements (IFRS), ERP or systems (e.g. Oracle, Navision, e-invoice) and finance operation processes and controls
  • Fluency in Turkish and English are mandatory
22

Cash Accountant Resume Examples & Samples

  • Daily cash reporting
  • Responsible for the daily cash management activity
  • Reconcile AR and bank accounts for month end
23

Cash Accountant Resume Examples & Samples

  • Reconciliations
  • Organize GL Reconciliations
  • Organize and File Monthly Journal Entries
  • Experience with ERP System
  • Experience in a $100MM+ Company
  • Above Average Proficiency in Microsoft Excel
  • Retail Industry Experience desirable
24

Order to Cash Accountant Resume Examples & Samples

  • Write-off , Adjustments , Deductions & Penalties if needed for all invoices
  • Cash and receipts application plus credit note applications
  • Preparation of invoice level detail (ILD) reports for the business; sales tax reports and re-aging
  • Keep abreast of changes, amendments and updates to local banking laws, exchange and billing laws, treasury controls to ensure that GE business operates smoothly and is compliant
  • Commission , Standard warranty , Extended Warranty , penalties & Concessions , BDR support
  • Fluency in French, Arabic or Spanish would be an added advantage
25

Cash Accountant Resume Examples & Samples

  • Download daily point of sale, bank, credit card and financing reports; load into cash reconciliation software (ReconNET) and reconcile transactions
  • Functional ReconNET software expert. Determinations regarding ReconNET maintenance, training and implementation by analyzing available enhancements and possible utilizations by Select Comfort. Generate and analyze reports to monitor any changes made to the system or transactions
  • Research cash and credit card transactions for accuracy and completion. Identify, initiate and direct the investigation of outstanding cash, check, credit card, ACH and wire issues, and submitting action requests internal and external resources to correctly safe guard and record cash and credit card transactions
  • Perform regular month end closing activities including but not limited to: reconciliations, analysis, journal entries, and reporting
  • Ensure timely and accurate recording of cash and credit card transactions and/or balances to mitigate cash losses and maximize cash utilization
  • ReconNET software experience preferred
  • Demonstrated ability to work independently
  • Proficient with Microsoft Office, ie; Excel
26

Cash Accountant Resume Examples & Samples

  • Minimum education Level: Bachelor degree in Finance or Accounting
  • 2 to 5 years of professional experience preferred (depending Junior or Senior Accountant
  • Must have a positive attitude and strong communication skills
  • Strong knowledge of accounting software
  • Strong understanding of accounting
  • Strong problem solving, analytical skills
  • Commitment to the highest ethical standards and willingness to adhere to Faurecia’s Code of Ethics and Code of Management
27

Order to Cash Accountant Resume Examples & Samples

  • Deadlines oriented
  • Accurate and proactive
  • Fluent in country language (other language is a plus)
28

Cash Accountant Resume Examples & Samples

  • Responsible for all aspects of bank reconciliations using Trintech software
  • Ensure timely resolution and clearing of outstanding items. (unmatched items, paid not issued, paid amount difference, encoding errors, etc)
  • Assist CFO with treasury functions including daily balance reporting, monthly cash forecasting, monthly loan monitoring and quarterly loan compliance. Also as needed assist with bank /credit card account setup/closures
  • Collaborate with the hotel and other team members within the company to clear reconciling items in an efficient and effective manner
  • Assist hotels with any banking issues – wires, EFT deposits, stop payments, copies of cleared checks
  • Assist with the documentation and monitoring of internal controls as relates to cash / treasury functions
  • Monitor and resolve Positive Pay exceptions through network banking system
  • Research and prepare outstanding issued checks for Unclaimed Property processing
  • Identify opportunities for streamlining and improving processes; develop and implement training and communications to improve all financial aspects of property and field operations
  • Monitor outstanding issues until they are resolved
  • Other duties and special projects as assigned
29

Sales & Cash Accountant Resume Examples & Samples

  • Set up banking and safe funds for stores
  • Reconcile and review various bank accounts, including Mastercard/Visa/Discover
  • Research banking over/shorts and deposits
  • Prepares and reviews income and balance sheet statements, consolidated statements, and various other accounting statements and reports
  • Analyzes and collects financial reports and records, making recommendations relative to the accounting of reserves, assets, and expenditures
  • Prepares journal entries for various accounts
  • Identifies accounting problems, researches possible solutions, and forms conclusions to present to management. Corrects problems
  • Assist in evaluating, recommending, maintaining and monitoring appropriate internal controls
  • Assist in the maintenance of internal control documentation
  • Interact with internal and external stakeholders in responding to inquires or report requests
  • Conducts special studies and develops or recommends accounting methods and procedure
  • Coordinates accounting matters with other departments and locations
  • Utilizes computer to input, retrieve or display accounting information
  • Reconciles/reviews assigned accounts
  • Bachelor’s degree required. Degree in Accounting or Finance preferred
  • 2-5 years General Accounting experience
  • Strong intermediate understanding of job requirements and responsibilities
  • Possess the ability to analyze, interpret and report financial data
  • Complete assignments with minimal supervision
  • Ability to work with and through others to achieve desired results
  • Must be multi-tasked and detail oriented
  • Possess good communication skills, both verbal and written. Possess the ability to communicate effectively with a wide variety of people both in person and over the telephone
  • Must have the ability to represent the company’s interest to outside vendors
  • Possess ability to work with minimal supervision, good organization skills and attention to detail
  • Personal computer skills required. Prior experience with Excel and Word applications in a Microsoft Windows environment
  • Complete assignments with direct supervision
  • Must be able to work in a team environment to achieve desired results
30

Cash Accountant Resume Examples & Samples

  • Prepares difficult journal entries, maintains complex ledgers, reconciles and analyzes specific cost account ledgers. Assists in the development and installation of accounting systems, cost accounting methods, procedures and controls
  • Ensures the balance sheet accounts are accurately stated based on compiled reconciliation procedures and agreement with source documents
  • Enters monthly journal entries to properly record accounting transactions, ensuring that journal entries have proper back up to substantiate the entry
31

Cash Accountant Resume Examples & Samples

  • Review Financial Transactions
  • Work Order Variance Reports
  • Assist IT Personnel
  • Maintain Item Master
  • Monitor Physical Inventory
  • 2+ Years of Experience
  • 1+ Years of Cost Accounting Experience
  • Great Technical Skills
  • Experience with ERP Systems
32

Cash Accountant Resume Examples & Samples

  • Work with Accounts Receivable team to ensure all customer cash activity is being recorded in a timely manner
  • Post all other incoming and outgoing cash transactions from the bank statements into GP on a daily basis
  • Provide updates on cash balances to management on a weekly basis
  • Prepare and request transfers of cash between fund bank accounts on a monthly basis
  • Interact with management and the finance operations department for issues related to customer deposits and refunds
  • Maintain and provide timely and accurate reconciliation of the cash GL accounts
33

Cash Accountant Resume Examples & Samples

  • Monitor, record and reconcile cash transactions related to the MMAR on-line business
  • Prepare and monitor other account reconciliations related to the MMAR Business (i.e. AR, Intercompany, Other Assets, AP, Accrued Liabilities, Other Liabilities, etc.)
  • Execute monthly, quarterly and year-end financial reporting and analysis requirements for management and external auditors
  • Prepare and record corporate journal entries
  • Assist Manager of Accounting with the MMAR Business reporting and analysis requirements for monthly and quarterly presentations
  • Work closely with various departments including sales, operations, and corporate accounting
  • Perform administrative tasks as assigned (Filing, Binding, Printing, etc.)
  • Must be experienced with Cash transactions and Account Reconciliation
  • Minimum 3-5 years of private company accounting
  • Highly motivated and works well in a changing environment
  • Detail oriented and ability to multitask in a fast paced environment
  • Excellent communicator, work well on a team, passionate, respectful and full of integrity
34

Homeowner & Club Cash Accountant Resume Examples & Samples

  • Post expenses and revenue corrections
  • Post checks, payment research, bank reconciliation
  • Complete Journal Entries to ensure accurate financial reporting
  • Manage Association agings and delinquent accounts procedures
  • Report financial status to title companies at sale of property
  • Partner with association accounting and homeowner billing to ensure efficient and accurate cash processes
35

Credit to Cash Accountant With Italian Resume Examples & Samples

  • Apply customer payments to the related invoices based on customer remittance advice
  • Post processing exception handling for cash payments
  • Manual application of customer payment and remittance advice
  • 1 year of experience in finance and/or accounting function
  • Very good command of English and Italian
  • Results oriented, promoting team work, customer oriented
  • Ability to work independently, execute tasks immediately and show initiative within a team environment
36

Senior Cash Accountant Resume Examples & Samples

  • Reconcile multiple bank accounts
  • Perform month-end closing duties for treasury
  • Oversee the review and approval of ACH debits
  • Research and reconcile all lockbox activities for multiple locations
  • Transfer funds between the Company’s various bank accounts
  • Create postings for cash transactions
  • Prepare journal entries for the Company
  • Submit safe pay and EFT files to the bank for all Company entities
  • Act as administrator for the Company’s American Express Credit Card Program
  • Prepare the weekly available cash balance report
  • Maintain the Company’s cash-flow projections
  • Update reporting for the Company’s securitization facility
37

Cash Accountant Resume Examples & Samples

  • Excellent oral and written communication skills with the ability to effectively communicate within all levels of management
  • Proficient in Microsoft Office package with emphasis on Microsoft Excel and Access
  • Strong problem solving and analytical skills required
  • Sound knowledge of accounting principles, including general ledger transactions
  • Proactive, strong customer focus
  • Confident, motivated, self-starter committed to timely delivery of assignments
  • Must be organized and capable of managing multiple priorities; capable of working independently
  • Knowledge of Cash Management practices with Oracle/SAP experience
  • Ability to interpret large volumes of data and make appropriate recommendations
  • Flexible and able to meet critical deadlines
38

Credit to Cash Accountant With English Resume Examples & Samples

  • Analyzing and solving customer payment exceptions
  • Perform daily cash reconciliations and cash reporting to ensure timely application of customer payments
  • Loading and posting payment details into SAP
  • Reviewing and confirming weekly unapplied cash reports
  • Very good command of English or Norwegian
  • Financial/Accounting/Economics related university or college degree
  • Knowledge of basic customer credit analysis techniques
39

Cash Accountant Resume Examples & Samples

  • Verify completeness of wire transfer requests received by Treasury
  • Input authorized payment instructions via treasury workstation or bank portal
  • Reconcile current day cash position for domestic bank accounts
  • Manage international bank accounts through existing cash concentration structures
  • Prepare daily cash position and weekly cash transaction reports
  • Complete and update the cash forecast daily
  • Monitor Treasury owned email boxes, forwarding requests to team members for resolution
  • Assist SBUs and corporate departments in resolving routine requests or inquiries regarding cash management
  • Maintain authorized signer approval limits for wire transfers per MIP-67
  • Sarbanes-Oxley self-assessment and audit support
  • Manage retention of cash reports
  • Support continuous process improvements to treasury workstation functions
  • Perform other duties and participate in special projects as assigned
  • Strong attention to detail with emphasis on accuracy
  • Proven ability to work under pressure to ensure critical deadlines are met
  • Demonstrates sound organizational and prioritization skills
  • Ability to manage multiple tasks simultaneously and work independently
  • Seeks out others for information, support, guidance, and assistance when needed
  • Makes suggestions for increasing the effectiveness of change
  • Meets customer needs by developing and maintaining effective relationships by promoting a customer service orientation within the organization
  • Undergraduate Degree in Finance or related field, or equivalent work experience
  • One or more years of experience in banking, accounting or finance
  • Prior experience with a treasury workstation system and banking platforms a plus