Cash Accountant
Listed on 2026-06-13
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Finance & Banking
Financial Reporting, Financial Analyst, Corporate Finance, Accounts Receivable/ Collections -
Accounting
Financial Reporting, Financial Analyst, Accounts Receivable/ Collections
We’re partnering with a growing energy infrastructure company to add a Cash Accountant to their Austin team.
This is not your typical accounting role. It sits within a highly operational, project-finance-driven environment where you’ll be directly involved in managing cash across multiple entities, complex banking structures, and restricted accounts.
If you enjoy being close to the numbers, hands‑on in cash operations, and involved in real‑time funding and liquidity activity, this is a great opportunity to step into a more dynamic and complex role.
Why This Role Stands Out- Exposure to complex project finance structures and real‑time cash activity
- Work across multiple entities, bank accounts, and funding layers
- Involvement in cash waterfalls, restricted cash, and lender‑controlled accounts
- High‑growth organization with active infrastructure and capital projects
- Collaborative, team‑oriented environment with strong internal visibility
- Opportunity to grow into increased ownership and process improvement initiatives over time
This is a hands‑on cash accounting / treasury operations role focused on day‑to‑day cash movement, forecasting, and funding activities in a complex environment.
Key responsibilities include:- Monitoring daily and weekly cash positions across multiple entities
- Building and maintaining cash forecasting models and Excel workbooks
- Supporting project finance cash waterfalls and restricted cash structures
- Managing transfer requests and coordinating movement of funds across accounts
- Partnering with banks and internal teams on funding and payment activity
- Supporting wires, ACH, and operational cash movements
- Preparing journal entries related to cash activity
- Assisting with reconciliations and cash investigations
- Contributing to process improvements as the team continues to scale
- 3+ years of experience in cash accounting, treasury operations, or operational accounting
- Experience in multi‑entity or complex cash environments
- Strong Excel skills, including building and maintaining detailed workbooks
- Experience working across multiple bank accounts and banking platforms
- Comfortable handling high‑volume, time‑sensitive cash activity
- Experience with journal entries and accounting support
- Ability to operate in a fast‑paced, evolving environment
- Background in energy, infrastructure, construction, or project finance
- Exposure to restricted cash structures or lender‑controlled accounts
- Treasury Management System (TMS) experience
This is a fast‑moving, collaborative team where personality fit matters.
You’ll do well here if you:
- Are adaptable and easy to work with
- Stay composed under operational urgency
- Take ownership without needing perfect structure
- Enjoy working in a team‑oriented, open office environment
- Fully onsite in downtown Austin
- Summer Fridays work‑from‑home
- Additional flexibility may develop over time based on performance
- Not a traditional GL‑focused accounting role
- Not a high‑level treasury strategy or modeling position
- Not a slow‑paced or highly structured environment
If you’re coming from cash accounting or treasury operations and want a role with more complexity, exposure, and real‑time impact — this is a strong opportunity to step into something more dynamic.
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