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Senior Cash Accountant

United States, Austin Employment contract · Job Posted June 09, 2026
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Job Description

We are looking for a detail-oriented Senior Cash Accountant t to support daily cash activity and maintain accurate financial records for a growing organization in Austin, Texas. This position plays an important role in managing cash movements, recording transactions, and helping the business maintain clear visibility into liquidity across multiple accounts and entities. The ideal candidate brings strong cash accounting experience, sound judgment, and the ability to work accurately in a fast-paced environment.

Job Responsibility

  • Manage day-to-day cash accounting tasks, ensuring time-sensitive activities are completed accurately and in priority order
  • Track bank balances and review cash positions across various accounts and legal entities to support effective liquidity management, including waterfall accounting practices
  • Process outgoing and incoming cash transactions, including wire activity, disbursements, internal fund movements, and related transfer requests
  • Produce regular cash forecasts that help the organization anticipate funding needs across multiple entities and accounts
  • Record daily cash transactions and assign appropriate coding to maintain complete and accurate accounting records
  • Carry out structured cash movement activities, including waterfall allocations and supporting documentation for transfers
  • Submit and release payments through treasury platforms and banking portals in accordance with established controls
  • Complete monthly reconciliations for bank accounts, clearing accounts, and cash-related subledgers while identifying and resolving variances
  • Research discrepancies tied to receipts, disbursements, bank activity, and cash application issues, then follow through to resolution

Requirements

  • Bachelor’s degree in Accounting, Finance, or Business Administration
  • At least 3 years of experience in cash accounting, treasury operations, or a closely related finance function
  • Familiarity with project finance environments, including cash waterfall structures and transfer request processes
  • Hands-on experience using treasury management systems and online banking platforms
  • Proficiency with Microsoft Office applications, especially tools used for financial analysis and reporting
  • Strong analytical and organizational skills with the ability to identify issues and solve problems effectively
  • Clear written and verbal communication skills for working across accounting, treasury, and business teams

Nice to have

Experience supporting accounts payable, accounts receivable, invoice processing, data entry, or systems such as QuickBooks is a plus

What we offer

  • medical, vision, dental, and life and disability insurance
  • eligibility to enroll in our company 401(k) plan

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