Job Summary
A company is looking for a Cash Flow Analyst I.
Key Responsibilities
- Maintains financial records and ensures accurate recording of transactions
- Prepares balance sheet reconciliations and identifies discrepancies
- Supports daily treasury operations and tracks cash flow and expenditures
Required Qualifications
- Associate degree in business or accounting, or two years of relevant experience
- One year of experience in account reconciliations and cash flow monitoring
- Work authorization in the U.S. without visa sponsorship
- Ability to complete a pre-employment Skill Assessment
- All offers contingent upon signing a confidentiality agreement and passing background checks
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