Treasury Analyst

PayCruit

Greensboro (NC)

Hybrid

USD 70,000 - 90,000

Part time

3 days ago
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Job summary

PayCruit in Greensboro, NC is seeking an experienced Treasury Analyst to support POS cash management, financial reconciliations, reporting, and payment operations.

The role also provides POS system support, troubleshooting, training, and implementation assistance. Hybrid – Local Candidates Only. Candidates should have 6+ years in Finance/Accounting, experience with POS reconciliations, Workday, and Hyperion/OfficeConnect; CTP certification is preferred.

Qualifications

  • Bachelor’s degree or Associate’s with 6+ years related experience.
  • 6+ years Finance/Accounting experience – Required
  • Experience with Point-of-Sale systems and reconciliations – Required
  • Strong analytical, troubleshooting, and communication skills.

Responsibilities

  • Manage POS cash transactions, payment posting, reconciliations, and financial reporting.
  • Reconcile daily banking, cash, wire transfer, and credit card activity.
  • Prepare and post monthly journal entries with supporting documentation.
  • Perform variance analysis and investigate financial discrepancies.
  • Support POS system implementations, testing, configuration, and cutovers.
  • Train and support end users and cash-site personnel with POS and deposit procedures.
  • Maintain financial systems including Workday, Hyperion/OfficeConnect, and Microsoft Office.
  • Support PCI DSS compliance and secure payment-data practices.

Skills

Finance/Accounting experience
Point-of-Sale systems
Analytical skills
Communication skills
Training end users

Education

Bachelor’s degree
Associate’s degree with 6+ years related experience
CTP or related certification

Tools

Workday
Hyperion/OfficeConnect
Microsoft Office

Job description

Location: Greensboro, NC 27401 | Hybrid – Local Candidates Only

Schedule: Mon–Fri, 8:30 AM–5:00 PM

Contract: 13 Weeks

Job Summary

Seeking an experienced Treasury Analyst to support point-of-sale cash management, financial reconciliations, reporting, and payment operations. The role will also provide POS system support, troubleshooting, training, and implementation assistance.

Key Responsibilities
  • Manage POS cash transactions, payment posting, reconciliations, and financial reporting.
  • Reconcile daily banking, cash, wire transfer, and credit card activity.
  • Prepare and post monthly journal entries with supporting documentation.
  • Perform variance analysis and investigate financial discrepancies.
  • Support POS system implementations, testing, configuration, and cutovers.
  • Train and support end users and cash-site personnel with POS and deposit procedures.
  • Maintain financial systems including Workday, Hyperion/OfficeConnect, and Microsoft Office.
  • Support PCI DSS compliance and secure payment-data practices.
Requirements
  • Bachelor’s degree, OR Associate’s degree with 6+ years related experience
  • 6+ years of Finance/Accounting experience – Required
  • Experience with Point-of-Sale systems and reconciliations – Required
  • Strong analytical, troubleshooting, and communication skills
  • Bank experience and healthcare revenue cycle experience preferred
  • Experience supporting/troubleshooting front-end users preferred
  • CTP or related certification preferred
Experience
  • Finance/Accounting: 6 years (Required)
  • Point-of-Sale systems and reconciliations: 2 years (Required)
  • Workday, Hyperion/OfficeConnect: 1 year (Required)
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