Hybrid Treasury and Payments Coordinator (Portland)

Pick-n-Pull Auto and Truck Dismantlers

Portland, Northern (OR, KY)

Hybrid

USD 36,000 - 41,000

Full time

14 days+
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Job summary

Radius Recycling Industries, Inc. is seeking a Treasury Clerk to support daily banking administration, vendor onboarding, reconciliations, and treasury operations across multiple entities.

This hybrid role, based in Portland, OR, bridges in-office collaboration three days a week with two days of remote work. The role partners with Accounting, Accounts Payable, and Accounts Receivable to ensure accurate cash activity reporting, month-end close support, and ongoing process improvements in banking

Qualifications

  • Bachelor’s degree in Finance, Accounting, or related field.
  • Experience in finance/ accounting, banking, AP, treasury or administrative support.
  • Intermediate Excel; data entry and reconciliation accuracy.
  • Ability to manage multiple tasks and meet deadlines.

Responsibilities

  • Vendor ACH onboarding and banking portal access setup.
  • Daily and monthly bank reconciliations and fee tracking.
  • Retrieve and organize bank statements for monthly close.
  • Maintain bank portal user management and audit permissions.
  • Document SOPs for daily banking tasks and onboarding steps.
  • Collaborate with Accounting, AP and AR on cash reporting and month-end close.
  • Assist with treasury system implementations and process improvements.

Skills

Excel proficiency
Data entry & reconciliation
Multitasking
Financial data handling
Banking documentation

Education

Bachelor’s degree in Finance/Accounting

Tools

Kyriba
Oracle

Job description

Radius Recycling Industries, Inc. is seeking a Treasury Clerk to support daily banking administration, vendor onboarding, reconciliations, and treasury operations across multiple entities.

This hybrid role, based in Portland, OR, bridges in-office collaboration three days a week with two days of remote work. The role partners with Accounting, Accounts Payable, and Accounts Receivable to ensure accurate cash activity reporting, month-end close support, and ongoing process improvements in banking

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