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Lean Solutions Group (LSG) is seeking a detail-oriented General Accountant (Cash and Reconciliations) to manage daily corporate liquidity and cash operations. In this role, you will ensure accurate financial tracking by monitoring balance sheets against bank activity, processing daily transactions, and resolving account variances.
You will collaborate with cross-functional teams to ensure timely month-end close and audit readiness, maintain organized digital records, and support external
Lean Solutions Group (LSG) is a next-generation solutions provider combining AI-driven automation, industry expertise, and tech-powered talent. Built in the demanding Supply Chain sector, our model now supports 600+ clients across multiple industries, powered by 10,000+ employees in five countries. We help businesses achieve immediate efficiency, long-term resilience, and scalable growth by integrating intelligent technology, optimized processes, and high-performance teams.
At LSG, we believe in your talent and your potential. Join a multicultural, people-first environment where you can grow, sharpen your skills, and unlock new career opportunities. Here, every day brings fresh challenges, collaboration, and purpose.
Transform business challenges into lasting success through purpose-built teams, technology, and expertise.
A world where people, empowered by technology, turn any challenge into a catalyst for growth.
We are seeking a detail-oriented General Accountant (Cash and Reconciliations) to manage daily corporate liquidity and cash operations. In this role, you will ensure accurate financial tracking by monitoring balance sheets against bank activity, processing daily transactions, and resolving account variances.
Bank & Ledger Reconciliation: Reconcile bank statements with internal billing, invoices, and remittances; investigate and resolve unmatched entries, short payments, and unrecognized deductions.
Cash Operations & Close Support: Perform daily matching of cash inflows and outflows to maintain cash clearing accounts and support month-end and year-end closing activities.
General Ledger Coding: Accurately assign GL codes to non-AR receipts and non-AP disbursements through cross-departmental coordination.
Reporting & Audit Readiness: Prepare daily/monthly transaction reports and assemble audit documentation, work papers, and flat claim rebate records for external auditors.
Record Keeping & Compliance: Maintain organized digital financial records in accordance with internal controls and data retention policies.
Experience: 2+ years of accounting experience, with emphasis on cash operations, bank reconciliations, or treasury.
Technical Skills: Advanced Microsoft Excel capabilities (VLOOKUPs, Pivot Tables, data manipulation).
Key Skills: High attention to detail, strong time-management skills, and effective professional communication for cross-functional collaboration.