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Jr. Cash Analyst Charlotte, NC
Job in
Charlotte, Mecklenburg County, North Carolina, 28202, USA
Listed on 2026-08-24
Listing for:
Robert Half
Full Time
position Listed on 2026-08-24
Job specializations:
-
Accounting
Financial Reporting, Financial Analyst, Accounts Receivable/ Collections, Financial Compliance -
Finance & Banking
Financial Reporting, Financial Analyst, Accounts Receivable/ Collections, Financial Compliance
Job Description & How to Apply Below
Jr. Cash Analyst
We are looking for a detail-oriented Jr. Cash Analyst to support daily treasury activities and maintain accurate visibility into cash movement across the business in Charlotte, North Carolina. This contract position with permanent potential is ideal for someone with at least two years of experience in cash operations, reconciliations, and financial reporting who enjoys working across Finance, Accounting, Accounts Payable, and Operations.
The person in this role will help strengthen cash controls, assist with forecasting, and contribute to timely month-end processes while ensuring banking activity is recorded and reviewed accurately.
Responsibilities:
- Monitor daily cash activity and prepare recurring cash reports to support treasury operations and funding decisions.
- Perform bank reconciliations on a daily and monthly basis, researching differences and resolving outstanding items promptly.
- Assist with cash forecasting by analyzing trends, expected receipts, payment timing, and project-related funding needs.
- Support month-end close by preparing cash-related schedules, reconciling balances, and contributing to financial reporting deliverables.
- Process and track cash receipts, wire transfers, and other banking transactions while maintaining accurate supporting documentation.
- Coordinate vendor payment timing and review upcoming disbursement requirements to help manage short-term liquidity needs.
- Investigate cash variances, account discrepancies, and unusual activity, escalating issues when needed and recommending corrective action.
- Partner with Finance, Accounting, Accounts Payable, Accounts Receivable, and Operations to ensure accurate cash application and effective treasury support.
- Provide documentation and reconciliation support for internal and external audits related to cash, banking, and treasury activity.
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