Financial Analyst Treasury

BuzzClan

Greensboro (NC)

Hybrid

USD 34,000 - 52,000

Part time

5 days ago
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Job summary

BuzzClan in Greensboro, NC is seeking an accounting/finance professional for a 13-week hybrid contract. Local candidates only. Work hours are generally Monday–Friday, with flexibility as needed; equipment is provided.

The role focuses on cash management, POS reconciliations, and accurate financial reporting across multiple systems. Strong journal-entry skills and PCI DSS awareness are required. Training and user support for POS processes will be provided.

Qualifications

  • Bachelor’s degree or Associate’s degree with 6+ years of related Accounting/Finance experience.
  • 6+ years of experience in Finance/Accounting.
  • Hands-on experience with POS systems and reconciliations.
  • Strong experience with cash management, banking transactions, journal entries, and variance analysis.

Responsibilities

  • Manage POS cash operations, payment posting, transaction accuracy, and financial reporting.
  • Perform daily bank, cash, credit card, and transaction reconciliations.
  • Prepare and post journal entries and supporting documentation.
  • Analyze variances and investigate discrepancies across multiple systems.
  • Support POS system implementations, testing, configuration, merchant setup, validation, and cutover.
  • Train and support end users and cash-site personnel with POS and deposit procedures.
  • Assist with PCI DSS compliance and secure payment-data handling.
  • Provide troubleshooting and ongoing operational support to internal stakeholders.

Skills

Cash management
Journal entries
Variance analysis
Reconciliations
POS systems
Financial reporting
Banking transactions

Education

Bachelor’s degree
Associate’s degree + 6+ years experience

Tools

Workday
Hyperion/Office Connect
Microsoft Office

Job description

Work Arrangement: Hybrid – Candidates MUST be local

Schedule: Monday–Friday, 8:30 AM–5:00 PM; hours may fluctuate as needed

Contract: 13 Weeks

Equipment: Provided

Required Qualifications
  • Bachelor’s degree OR Associate’s degree with 6+ years of related Accounting/Finance experience.
  • 6+ years of experience in Finance/Accounting.
  • Hands-on experience with Point-of-Sale (POS) systems and reconciliations.
  • Strong experience with cash management, banking transactions, journal entries, and variance analysis.
Preferred Qualifications
  • Banking experience.
  • Experience troubleshooting POS issues and supporting/training end users.
  • CTP or related certification is a plus.
  • Experience with Workday, Hyperion/Office Connect, and Microsoft Office.
Key Responsibilities
  • Manage POS cash operations, payment posting, transaction accuracy, and financial reporting.
  • Perform daily bank, cash, credit card, and transaction reconciliations.
  • Prepare and post journal entries and supporting documentation.
  • Analyze variances and investigate discrepancies across multiple systems.
  • Support POS system implementations, testing, configuration, merchant setup, validation, and cutover.
  • Train and support end users and cash-site personnel with POS and deposit procedures.
  • Assist with PCI DSS compliance and secure payment-data handling.
  • Provide troubleshooting and ongoing operational support to internal stakeholders.
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