Hiring.Camp

Senior Treasury & Cash Operations Accountant

Lesschwab

·

Yesterday

Location
Bend, OR, United States of America
Type
Full-time
Department
Finance
Seniority
Senior
Education
Master
Source
Workday

Description

Job Description:

Position Summary: The Senior Treasury & Cash Operations Accountant plays a key role on the Cash Management team, driving process simplification, efficiency, and scalability across high-volume cash operations. This role reports to the Treasury Manager and works closely with the cash management team to bridge complex cash accounting and core treasury functions. The ideal candidate brings strong foundational accounting or banking experience, an analytical mindset, and a continuous-improvement focus to streamline workflows, optimize liquidity systems, and assist with debt compliance and bank reporting. 


PRIMARY RESPONSIBILITIES/FUNCTIONS

Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions/primary responsibilities.


70% - Cash Management Operations & Process Optimization

  • Process simplification & Scalability (25%): Evaluate, document, and modernize existing daily cash management workflows to reduce manual tasks, build scalable processes, and optimize bank/TMS integration. Build and enhance working templates in Excel and Google Sheets. 
  • Complex Bank Reconciliations & Cash Operations (20%): Lead and support complex multi-entity bank reconciliations covering high-volume retail transactions, including Wires, batch ACH settlements, and physical checks.
  • Liquidity & Short-Term Cash Positioning (15%): Oversee daily cash positioning across accounts, monitor target balance requirements, and refine short-term operational cash flow forecasting models.
  • Unclaimed Property & Disbursements Support (10%): Manage and streamline unclaimed property reporting and compliance.

30% - Core Treasury, Debt Compliance & Fee Optimization

  • Debt Compliance & Credit Facility Management (15%): Prepare monthly, quarterly, and annual debt compliance certificates, calculate leverage/coverage ratios, and compile monthly Borrowing Base Certificates (BBC) for the ABL credit facility. 
  • Bank & Merchant Fee Optimization (10%): Audit monthly and quarterly bank and analysis statements and merchant processor fees. Benchmark costs, track fee anomalies, and identify cost-reduction opportunities. 
  • Month-End Close & Treasury Accounting (5%): Prepare and review month-end journal entries for bank fees and debt facility schedules. As needed, assist with bank account administration, KYC refreshes, and annual audit confirmations. 

MINIMUM EDUCATION & SKILLS REQUIRED


Educational/Experience Requirements: 

  • Education: Bachelor’s degree in Accounting, Finance, or Economics is preferred
  • Experience: 3-5 years of progressive accounting experience, ideally in corporate accounting, cash management/treasury, or public accounting. Prior experience in banking, liquidity management, or high-volume enterprise retail environments is a strong plus. 
  • Certifications: Post-graduate or MBA a strong preference

Technical Skills/Knowledge: 

  • Excel & Google Sheets Proficiency: Advanced skills in Microsoft Excel and/or Google Sheets, including lookups, logical functions, and template design/streamlining. 
  • Treasury & ERP Systems: Hands-on experience with ERP systems and Treasury Management Systems (TMS); direct experience with Kyriba or a similar TMS is a strong plus. 
  • Banking & Merchant Platforms: Direct experience with online banking portals (wire/ACH origination, reporting) and familiarity with merchant processing settlement platforms. 

General Knowledge and Abilities: 

  • Process Builder: Adaptable and resilient professional who thrives on building, cleaning up, modernizing, and critical thinking.
  • Analytical & Skeptical Mindset: Regularly asks the “why” behind workflows to isolate inefficiencies, redundancies, resolve reconciliation anomalies, and reduce costs. 
  • Collaboration & Leadership: Strong cross-functional partner who can collaborate with the Cash Management Supervisor and the Treasury Manager.

Physical Requirements: 

  • Physical Requirements: Desk position, regularly required to sit, stand, walk, and operate computer equipment. Lifting required up to 20 lbs.
  • Work Environment: Office environment, non-manual work. 

For full time positions after eligibility criteria are met, benefits include:

  • Quarterly Bonus
  • Medical, dental, vision, and life insurance
  • Company-funded retirement plan
  • Paid time off
  • Short- and long-term disability
  • Employee discount
  • Tuition Assistance

Benefits are subject to change at any time and governed by plan documents and Company policy. Higher minimum wage applies in applicable locations.


This job description is not all-inclusive and is subject to change. Additional duties, responsibilities, and tasks may be assigned, as necessary. Employment remains “AT WILL” at all times.


Skills

ExcelKYCComplianceERP

Similar Jobs

30

Senior Treasury Analyst

Century Distribution Systems·Glen Allen, VA

Today

Senior Commercial Treasury Management Sales Officer

CTBC Bank·Los Angeles, CA

Today

Senior Treasury & Capital Management Specialist, Africa Regions

Standard Bank Group·Johannesburg, GP

Today

AVP, Senior Dealer, Treasury ALM.Bombay -Treasury.International Banking Group

Mashreq·Mumbai, Maharashtra·Onsite

Today

Finance Treasury Senior Officer | Kuala Lumpur

Hirehub Management Sdn Bhd·Kuala Lumpur

Today

Senior Data Analyst - Treasury

Ebury·Madrid·Hybrid

Today

Senior Analyst, Treasury

Questrade Financial Group·North American Centre, 5700 Yonge St

1d ago

Senior Treasury Dealer, Treasury

Amazon

1d ago

Senior Treasury Analyst

Lonza·UK - Manchester, UK·Remote, Hybrid

1d ago

Senior Analyst, Treasury Operations

Inspire·Atlanta Support Center, US·Onsite

1d ago

Treasury Operations Senior Specialist

Freseniusmedicalcare·PHL Shared Services Philippines - BGC Office·Hybrid

1d ago

Senior Treasury Analyst – Modelling and Analytics Team

Nationwide·GB, UK

1d ago

Sr. Analyst, Capital Markets & Treasury

Brookfield·Brookfield Place, Canada

2d ago

Senior Treasury Manager (m/f/d)

Northerndata·London, UK

2d ago

Senior Software Engineer - Liquidity & Treasury

mtb·Buffalo, NY·Hybrid

2d ago

Senior Manager, Treasury

Welcome to our career portal!·Dallas DFW, US

2d ago

Senior Executive Accounts – Treasury

Kemin·Chennai, TN

2d ago

Treasury Operations Senior Analyst

Bpinternational·HU: Budapest, Hungary·Remote

2d ago

Treasury Senior Specialist

Samsung·Lotissement la colline 2, Casablanca

2d ago

Treasury - Sr. Associate

Theapexgroup·Bangalore - North, India

2d ago

Global Process Owner - Treasury (Senior Manager/ Associate Director)

Freseniusmedicalcare·PHL Shared Services Philippines - BGC Office·Hybrid

2d ago

France Accounting & Treasury Senior Manager

Amplifon·Paris, Île-de-France

2d ago

Senior Manager, Treasury FP&A & Risk Management

MVIP Consulting

2d ago

Senior Treasury Analyst

Wells Fargo·110380-IND-BENGALURU-INTL BLR Twr-1&2 CARNATION, India

3d ago

Senior Director – FX & Commodities Trading.Injaz - Trading - FX & Commodities.Treasury and Capital Markets

Mashreq·United Arab Emirates, AE·Onsite

4d ago

Senior Software Engineer - Payments & Treasury

Alpaca·North America, South America +1·Remote

5d ago

Senior Treasury Dealer, Treasury

Amazon

6d ago

Senior Manager, Treasury

Snapchat·Santa Monica - 2950 31st St, US +1

6d ago

Senior Treasury Management Sales Officer

Fult·Norfolk, VA +1·Remote, Hybrid

6d ago

Senior Treasury Consultant

BMO is·MN098-1006, US

6d ago