Cash Application Analyst

Clutch Technologies Inc.Toronto, ON
CA$50,000 - CA$60,000Onsite

About The Position

Clutch is looking for a detail-oriented Cash Application Analyst to join our Finance & Accounting team. In this role, you will ensure the accurate and timely recording and reconciliation of payments and receivables, supporting financial integrity across all transactions. You will work closely with Finance, Sales, and Treasury teams to maintain accurate customer ledgers, monitor payments, and assist with process improvements and month-end close activities.

Requirements

  • Post-secondary education in Accounting.
  • 1–2 years of experience in an accounting role, meeting tight deadlines under pressure.
  • Proficiency in Excel/Google Sheets and ability to quickly learn new applications or tools.
  • Excellent interpersonal and communication skills, with the ability to develop and maintain positive relationships with colleagues and vendors.
  • Exceptional attention to detail and accuracy.
  • Entrepreneurial mindset — proactive, resourceful, and energized by working hard to get the job done.
  • Comfortable working in our Downtown Toronto office at 60 Adelaide St. E.

Nice To Haves

  • Experience with Oracle Fusion is a plus.
  • Exposure to process improvement initiatives within Finance & Accounting.
  • Experience supporting a high-growth, multi-entity company.

Responsibilities

  • Review and record sales transactions to customer ledgers, reconciling revenue daily to ensure accurate financial recording.
  • Monitor payment receipts and apply payments to outstanding receivables in a timely manner.
  • Collaborate with Sales and Treasury teams to coordinate receipt of funds and resolve discrepancies or past-due payments.
  • Monitor customer account details for non-payment, delayed payments, and other discrepancies.
  • Maintain and organize source documents to ensure accurate and complete financial records.
  • Assist the Finance & Accounting team with month-end close and year-end audit requests.
  • Support management on ad-hoc projects that improve and maintain the full accounting cycle and accounting functions.

Benefits

  • Comprehensive healthcare, dental, vision, prescriptions, life insurance, and dependent coverage; starting from day 1.
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