Staff Accountant - Cash and Asset Management

Rolls-Royce•Indianapolis, IN
•Hybrid

About The Position

An exciting opportunity has arisen for a staff accountant – Cash and Asset Management position to work for North American Finance Service Centre (NAFSC) as one of three Finance Service Centers at Rolls-Royce and a part of Finance Operations in Global Business Services. The Finance Service Centers provide transactional finance support for and on behalf of Rolls-Royce Finance and the wider business. With departments of Financial Accounting and Reporting (FA&R), Accounts Payable (AP) and Accounts Receivable (AR), the service centers are integral to Rolls-Royce's finance strategy in ensuring that transactional finance processes are delivered efficiently and effectively both to meet customer requirements and in order to enable scalable future growth and expansion.

Requirements

  • Associate degree with 3+ years in finance/accounting experience, OR Bachelor’s degree with 1+ years finance/accounting experience, OR Master’s degree finance/accounting experience, OR JD/PhD, OR 5+ years of experience in finance/accounting in lieu of a degree
  • Must be a U.S. Citizen

Nice To Haves

  • Finance or Accounting degree

Responsibilities

  • Recording daily cash transactions and preparing weekly cash report and preparing and/or reviewing miscellaneous payments in online banking systems
  • Applying appropriate level of professional skepticism to all financial transactions and task proposed transactions, as necessary, to ensure accurate financial reporting in accordance with accounting standards and group policy
  • Performing regular bank account reconciliations. Reconciliations should be completed as a key financial internal coordinate as well as providing meaningful financial management information to finance business partners
  • Reviewing, developing, evaluating, and modifying specific accounting procedures to ensure continuous effort to improve operations, decrease turnaround times, streamline work processes, and work cooperatively and jointly to provide quality seamless customer service
  • Prepare journal entries, load HFM and work on STAT reporting, Perform Fixed Asset reporting
  • Assist with month-end and year-end close, internal, and external audit requests, and other ad hoc projects as required

Benefits

  • base pay
  • discretionary bonus plan
  • health insurance
  • dental insurance
  • vision insurance
  • disability insurance
  • life and accidental death & dismemberment insurance
  • flexible spending account
  • health savings account
  • 401(k) retirement savings plan with a company match
  • Employee Assistance Program
  • Paid Time Off
  • certain paid holidays
  • paid parental and family care leave
  • tuition reimbursement
  • long-term incentive plan
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