Under the direction of the Cash Manager and the Director of Shared Revenue Services, this position is responsible for compiling and analyzing cash processing information, developing policies and procedures, as well as supporting the business operations of the Enterprise Cashiers Department. The responsibilities will include: monitoring EFT transactions and bank statements; preparing vendor information for the Cash Supervisors; daily, weekly and monthly cash reconciliation; the identification of trends and developments in a competitive environments including presentation of findings to senior management; and performs ad-hoc analytical tasks as assigned by the Cash Manager and/or the Director of Shared Revenue Services. This position will work with other internal Finance team members, Department Administrators, the General Accounting Department and internal/external customers. The Cash Processing Analyst assists with the coordination of various projects related to the Cash Processing finance and accounting functions to support the production of accurate, timely cash posting and reconciliation. Position: Cash Processing Analyst Department: PFS Cashiers Schedule: Full Time
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Job Type
Full-time
Career Level
Mid Level