Senior Cash Accountant
Listed on 2026-07-08
-
Accounting
Financial Reporting, Accounts Receivable/ Collections, Financial Analyst, Financial Controller -
Finance & Banking
Financial Reporting, Accounts Receivable/ Collections, Financial Analyst, Financial Controller
A rapidly growing infrastructure and energy organization in Austin is seeking a Senior Treasury/Cash Accountant to join its expanding accounting and finance team. This is a unique opportunity to step into a highly visible operational cash role within a fast-paced, entrepreneurial environment supporting complex projects, multiple entities, and ongoing organizational growth.
The company has experienced significant expansion and continues to evolve its processes, systems, and operational infrastructure. They are seeking someone who enjoys being part of a collaborative, high-energy team and who thrives in environments where they can build, improve, and take ownership.
This role sits at the intersection of cash accounting, treasury operations, and project-finance support. The position is highly operational and hands-on, with exposure to complex cash movement activities, liquidity tracking, and multi-entity cash management.
Key Responsibilities:- Monitor and manage cash activity across multiple entities and bank accounts
- Prepare and maintain cash forecasts, liquidity trackers, and Excel-based reporting workbooks
- Support operational cash movement activities including transfers, funding requests, and payment coordination
- Assist with project-finance-related cash structures and restricted cash processes
- Prepare journal entries and support cash-related reconciliations/investigations
- Coordinate with accounting, AP, banking partners, and operational stakeholders
- Support process improvement initiatives as the company continues to scale
- Assist with weekly cash positioning and operational liquidity management
- 3+ years of accounting, treasury, cash accounting, or operational finance experience
- Experience working in multi-entity environments preferred
- Strong Excel skills, including building and maintaining workbooks, trackers, and operational reporting tools
- Comfortable working across multiple systems, bank accounts, and operational priorities
- Experience with bank portals, treasury operations, or high-volume transactional environments is a plus
- Infrastructure, construction, energy, project accounting, or operational accounting backgrounds are highly attractive
- Strong attention to detail and ability to operate effectively in fast-paced environments
- Operationally minded accounting/finance professional
- Adaptable and comfortable with evolving processes
- Team-oriented, collaborative personality
- Strong organizational and problem-solving skills
- Someone excited by growth and interested in taking on increased ownership over time
- Austin-based onsite role with some hybrid flexibility
- Competitive base, benefits, and bonus
- Collaborative and energetic office environment
- Opportunity to join a growing organization with strong long‑term career potential
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).