Cash Accountant, Treasury

JD Finish Line

Indianapolis (IN)

On-site

USD 60,000 - 80,000

Full time

2 days ago
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Job summary

JD Finish Line is seeking a Cash Accountant to manage daily bank activity, reconcile ledgers, and process wires and ACH payments. The role collaborates with Treasury and Finance to resolve variances and improve treasury controls in a fast-paced retail environment.

Qualifications include a Bachelor’s degree in Accounting or Finance and 1–3 years of related experience; proficiency in Microsoft Office and ERP systems such as Oracle XStore, ReSA, Aptos, and Workday Accounting Center is preferred.

Qualifications

  • Bachelor’s degree in Accounting or Finance; 1–3 years of relevant work experience preferred.
  • Experience with multi-location or multi-fascia retail sales audit operations is a plus.

Responsibilities

  • Record and validate daily bank activity in the General Ledger for non-POS/cash transactions.
  • Review and validate daily bank transactions, ensure proper coding and recording.
  • Manage corporate deposits, document and reconcile to bank activity and GL.
  • Prepare monthly bank reconciliations and resolve discrepancies promptly.
  • Coordinate with Treasury and Finance to resolve variances and unidentified activity.
  • Initiate domestic and international wires and ACH payments per Treasury policies.
  • Ensure payments have proper documentation and approvals and are reconciled.
  • Maintain supporting documentation for bank activity and reconciliations.
  • Monitor bank accounts for unusual activity and escalate issues to Treasury.
  • Assist with month-end close and improve cash accounting processes.

Education

Bachelor’s degree in Accounting or Finance

Tools

Microsoft Office
POS systems
Sales Audit systems
Sub-ledger systems
General Ledger systems
Oracle XStore
ReSA
Aptos
Sales Hub
Workday Accounting Center

Job description

The Cash Accountant will be responsible for recording and validating daily bank activity in the General Ledger, including deposits, transfers, fees, and other cash transactions, while ensuring accurate documentation and reconciliation of corporate deposits and bank accounts. Prepare monthly bank reconciliations, investigate discrepancies and unusual activity, and coordinate with Treasury, Accounting, and Finance teams to resolve cash variances and unidentified transactions. Process domestic and international wires and ACH payments in accordance with established controls, support month-end close and audit requirements, and identify opportunities to improve cash accounting processes and Treasury operations.

Key Responsibilities

  • Record daily bank account activity in the General Ledger (G/L) for non-POS/operating cash transactions, ensuring cash activity is accurately and timely reflected in the company’s financial records.
  • Review and validate daily bank transactions, including deposits, withdrawals, transfers, fees, and other operating cash activity, and ensure transactions are properly coded and recorded.
  • Manage and process corporate deposits, ensuring deposits are accurately documented, recorded, and reconciled to bank activity and the General Ledger.
  • Prepare monthly bank reconciliations for corporate bank accounts, investigating and resolving outstanding items and discrepancies in a timely manner.
  • Coordinate with Treasury, Accounting, and other Finance teams to research and resolve cash variances, reconciliation issues, and unidentified bank activity.
  • Initiate and process domestic and international wires and ACH payments in accordance with established Treasury policies, approval requirements, and internal controls.
  • Ensure payment activity is supported by appropriate documentation and approvals and is accurately recorded and reconciled following execution.
  • Maintain accurate supporting documentation for bank activity, deposits, payments, and account reconciliations to support internal and external audit requirements.
  • Monitor assigned bank accounts for unusual or unexpected activity and escalating discrepancies or potential control issues to Treasury management.
  • Assist with month-end close activities, ensuring cash-related transactions and reconciliations are completed accurately and within established deadlines.
  • Identify opportunities to improve cash accounting processes, strengthen controls, and enhance the efficiency and accuracy of Treasury operations.

Required Education and/or Experience

Bachelor’s degree in Accounting or Finance preferred; 1-3 years of relevant work experience in Finance, Treasury, Financial Operations, or a related field; or an equivalent combination of education and experience.

Required Computer and Technical Skills

Proficiency in all Microsoft Office equivalent programs along with experience with multi-location or multi-fascia retail sales audit operations, including POS transaction processing and reconciliation. Hands-on experience with POS, Sales Audit, sub-ledger, and General Ledger systems, preferably Oracle XStore, ReSA, Aptos, Sales Hub, and Workday Accounting Center.

Physical Demands

The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

  • Sit for more than 6 hours per shift
  • Use hands to finger, handle and feel
  • Reach with hands and arms
  • Talk and/or hear
  • Stand for up to 2 hours at a time periodically
  • Walk or move from one location to another
  • Occasionally may need to climb, balance, stoop, kneel, or crouch
  • Lift and/or move up to 10 pounds regularly and up to 25 pounds occasionally
  • Punctuality and regular attendance consistent with the company’s policies are required for the position.
  • Average work week is 45-50 hours, which can vary depending on business need.
  • The work environment for this position is a moderately noisy office setting.

The company reserves the right to modify this job description with or without notice. Employees may be asked to perform additional duties outside of normal job scope on a temporary basis per company policy.

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