Cash Reconciliation Specialist (Contract) – Onsite

Gosnaphop

Atlanta (GA)

On-site

USD 100,289,000 - 128,943,000

Full time

14 days+
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Benefits offered by this job

Medical insurance
Dental insurance
Vision insurance
401k

Job summary

Addison Group is seeking a Staff Accountant for a 6‑month contract in Marietta, GA. The role focuses on cash and bank reconciliations within a large corporate accounting environment.

You will handle high-volume cash activity, identify discrepancies, and drive root-cause analysis with cross-functional teams. The candidate should own reconciliations, manage journal entries, and support period-end close with a detail-oriented, process-improvement mindset.

Qualifications

  • Bachelor's degree in Accounting, Finance, or a related field.
  • Direct experience owning cash or bank reconciliations — not just supporting someone else who did.
  • Working knowledge of the general ledger and how cash transactions flow through it.
  • Comfortable preparing and researching journal entries tied to cash activity.
  • Experience closing books and supporting period-end reconciliation processes.
  • Strong Excel skills — pivot tables, large data sets, high transaction volumes.
  • The kind of person who follows a problem to the answer rather than escalating at the first sign of complexity.
  • Clear communicator who can work across departments without losing track of their workload.

Responsibilities

  • Own reconciliation activity across a large portfolio of cash and bank accounts on a daily, weekly, and monthly basis.
  • Investigate and clear open items including unposted transactions, timing gaps, unidentified cash, and unresolved variances.
  • Navigate large volumes of transactional data in Excel to surface exceptions and inconsistencies that require follow-up.
  • Follow discrepancies through the accounting cycle to identify where and why a break occurred — and see it through to resolution.
  • Record journal entries and build supporting documentation tied to cash-related accounting activity.
  • Coordinate with cross-functional teams across Treasury, billing, operations, and AR to clear outstanding items.
  • Contribute to balance sheet close and period-end reconciliation activity.
  • Keep reconciliation files audit-ready and organized at all times.
  • Flag workflow inefficiencies and contribute to efforts to simplify and strengthen the reconciliation process.

Skills

Bank reconciliations
Excel (pivot tables)
Journal entries
Cross-functional communication
Financial analysis

Education

Bachelor's degree in Accounting/Finance

Tools

Workday Financials
Alteryx
Power BI
Tableau

Job description

Addison Group is seeking a Staff Accountant for a 6‑month contract in Marietta, GA. The role focuses on cash and bank reconciliations within a large corporate accounting environment.

You will handle high-volume cash activity, identify discrepancies, and drive root-cause analysis with cross-functional teams. The candidate should own reconciliations, manage journal entries, and support period-end close with a detail-oriented, process-improvement mindset.

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