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Treasury Accountant

Job in Irvine, Orange County, California, 92614, USA
Listing for: PACER GROUP
Full Time position
Listed on 2026-06-20
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst
  • Accounting
    Financial Reporting, Financial Analyst
Job Description & How to Apply Below
Title:
Treasury Accountant


Location:
Irvine CA 92614


Duration: 6+ Months (Possible extension)

Pay Range: XXXX/hr - XXXX/hr

Shift: Mon - Fri 8.00 AM - 5 PM PST

Job Summary

KOREAN is MUST

Position Summary
  • The Treasury Staff Accountant supports the company's treasury and treasury-related accounting operations, including cash management, banking activities, debt tracking, and daily cash reporting.
  • This role also supports company administrative matters and ad hoc tasks as assigned.
Key Responsibilities

Treasury & Cash Management
  • Assist with daily treasury activities, including cash receipts, disbursements, and intercompany transfers
  • Monitor daily cash balances and support daily cash positioning and liquidity tracking
  • Prepare and maintain Daily Cash Reports, including:
- Submission to GAR

- Verification of balances per financial statements and bank statements
  • Maintain and update Daily Cash files, reflecting daily cash inflows (collections) and outflows (disbursements)
Banking Operations
  • Review and verify bank master information in Firm Banking systems, ensuring accuracy of all required details (including ZIP codes)
  • Assist with bank account administration, including documentation and coordination with banks as needed
  • Follow up on CBU payment remittance email requests
  • Organize, track, and maintain vendor payment confirmation emails for record-keeping and reconciliation
Treasury Accounting & Reporting
  • Prepare and maintain treasury-related accounting schedules, including cash, debt, and interest
  • Assist with basic bank transfer journal entries and supporting documentation
  • Support debt tracking, including loan balances, interest accruals, and repayment schedules
  • Assist with month-end and year-end close activities related to cash and debt accounts
  • Prepare supporting schedules and reports for management and HQ
Company Administrative Affairs & Ad Hoc Support
  • Support company administrative matters, including documentation, expense tracking, and vendor-related records
  • Assist with invoice processing and administrative coordination as needed
  • Support organization and maintenance of internal files and records
  • Perform ad hoc treasury, accounting, or administrative tasks as assigned by management
Qualifications

Education & Experience
  • Bachelor's degree in Accounting, Finance, Business Administration, or a related field
  • 1-3 years of experience in treasury, accounting, or finance support roles
Skills & Competencies
  • Strong attention to detail and documentation accuracy
  • Solid understanding of basic accounting and treasury concepts
  • Proficiency in Excel
  • Ability to manage multiple tasks and handle ad hoc requests
  • Strong communication and organizational skills
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