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We are looking for a detail-oriented Cash Accountant to support treasury and cash operations for a fast-paced leasing organization in Dallas, Texas. This role focuses on maintaining accurate daily cash activity, supporting banking transactions, and ensuring timely reconciliation across internal accounting and contract systems. The ideal candidate brings strong analytical ability, sound accounting knowledge, and the confidence to manage priorities independently while collaborating with teams across the business.
Job Responsibility:
Oversee daily activity within the treasury management platform and keep cash records current, complete, and accurate
Review incoming cash data and perform daily reconciliations to confirm all transactions are captured correctly
Record bank deposits and wire activity in both the internal contract system and the accounting platform within established timelines
Administer a large portfolio of bank accounts, including account setup, maintenance updates, and closures as business needs change
Initiate wire transfers, monitor payment status, and work directly with banking partners to investigate and resolve exceptions
Prepare routine cash position reporting to support visibility into available funds and short-term cash needs
Maintain account analyses and balance sheet reconciliations on an ongoing basis to support accurate financial reporting
Meet monthly, quarterly, annual, and ad hoc reporting deadlines while assisting with treasury-related projects and process support as needed
Requirements:
Bachelor's degree in Accounting
At least 5 years of experience in cash application, cash accounting, or treasury-related accounting work
Hands-on experience with a treasury or cash management system, such as Kyriba
Strong understanding of bank reconciliations, cash activity processing, and wire transfer administration
Solid knowledge of Generally Accepted Accounting Principles and the ability to apply accounting concepts accurately
Proficiency with Microsoft Excel and other Microsoft Office applications, with the ability to learn additional financial systems quickly
Demonstrated attention to detail, numerical accuracy, and problem-solving ability in a deadline-driven environment
Effective written and verbal communication skills, with the ability to work independently and coordinate with cross-functional stakeholders