Cash Analyst

Creative Financial Staffing, LLC

Stow (OH)

On-site

USD 55,000 - 60,000

Full time

12 days ago
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Job summary

Creative Financial Staffing, LLC is seeking a Cash Analyst in Stow, Ohio on-site to support day-to-day cash management and financial operations within a nonprofit setting. You will work with leadership to monitor cash activity, assist with reporting, and help ensure timely financial processes.

The role emphasizes accuracy, discretion with confidential data, and coordination of grant funding activity, including tracking receipts and expenditures, preparing reports, and supporting special projects

Qualifications

  • Bachelor’s degree in Accounting, Finance, Business Administration, or a related field preferred.
  • 2+ years of experience in cash management, accounting, finance, financial analysis, or related areas.
  • Experience with bank reconciliations, cash reporting, or financial operations preferred.

Responsibilities

  • Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers.
  • Prepare daily, weekly, and monthly cash reports and financial schedules.
  • Perform bank reconciliations and investigate discrepancies.
  • Assist with cash flow forecasting and monitoring anticipated receipts and expenditures.
  • Analyze cash inflows/outflows and identify variances or unusual activity.
  • Track grant and funding receipts and assist with monitoring funding.
  • Review expenses by grant, program, department, or funding source.

Skills

Cash management
Financial analysis
Business operations

Education

Bachelor's degree in Accounting, Finance, Business Administration, or related field

Job description

Job Title: Cash Analyst

Location: Stow, Ohio – (On-site) – Monday-Friday

Salary: $55,000 to $60,000

About the Company

Our client is a small, established nonprofit organization serving the local community through mission-driven programs and services. The organization values financial stewardship, operational efficiency, hands‑on problem solving, and strong organizational support. This role will play an important part in supporting cash management, financial operations, leadership priorities, and overall organizational efficiency.

Position Overview

The Cash Analyst will support day-to-day cash management, financial operations, and organizational activities within a nonprofit environment. This role will work closely with leadership to monitor cash activity, support financial reporting and analysis, coordinate administrative priorities, and ensure important tasks and deadlines are effectively managed.

The position will assist with cash flow monitoring, bank reconciliations, financial reporting, and analysis while also supporting leadership with scheduling, meetings, reporting, correspondence, and follow‑up activities. The ideal candidate will be highly organized, financially savvy, proactive, detail‑oriented, and comfortable handling confidential information and multiple priorities in a small organization.

The role will also assist with grant and funding activity, tracking cash receipts and expenditures, preparing reports and supporting documentation, and supporting special projects and organizational initiatives.

Why This Opportunity Stands Out (Cash Analyst)
  • Direct exposure to cash management, financial analysis, and organizational operations
  • Opportunity to develop hands‑on experience with cash flow monitoring and forecasting
  • Exposure to bank reconciliations, financial reporting, and organizational budgeting
  • Opportunity to work closely with leadership and support organizational decision‑making
  • Broad role combining finance, administration, and operational support
  • Small organization environment with hands‑on responsibility and learning opportunities
  • High visibility into organizational priorities, funding, grants, and day‑to‑day operations
Key Responsibilities (Cash Analyst)
  • Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers
  • Prepare daily, weekly, and monthly cash reports and financial schedules
  • Perform bank and cash account reconciliations and investigate discrepancies
  • Assist with cash flow forecasting and monitoring of anticipated cash receipts and expenditures
  • Analyze cash inflows and outflows and identify variances, trends, or unusual activity
  • Track grant and funding receipts and assist with monitoring expected funding
  • Review and track expenses by grant, program, department, or funding source
Qualifications (Cash Analyst)
  • Bachelor’s degree in Accounting, Finance, Business Administration, or a related field preferred
  • 2+ years of experience in cash management, accounting, finance, financial analysis, business operations, or a related area preferred
  • Experience with bank reconciliations, cash reporting, financial analysis, or financial operations preferred

#INSEP2026

#treasury #cash #opportunity #local #onsite

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