The Treasury Accountant supports the company s treasury and treasury related accounting operations including cash management banking activities debt tracking and daily cash reporting. This role also supports company administrative matters and ad hoc tasks as assigned.
Key Responsibilities
Treasury & Cash Management
Assist with daily treasury activities including cash receipts disbursements and intercompany transfers
Monitor daily cash balances and support daily cash positioning and liquidity tracking
Prepare and maintain Daily Cash Reports including:
Submission to GAR
Verification of balances per financial statements and bank statements
Maintain and update Daily Cash files reflecting daily cash inflows (collections) and outflows (disbursements)
Banking Operations
Review and verify bank master information in Firm Banking systems ensuring accuracy of all required details (including ZIP codes)
Assist with bank account administration including documentation and coordination with banks as needed
Follow up on CBU payment remittance email requests
Organize track and maintain vendor payment confirmation emails for record keeping and reconciliation
Treasury Accounting & Reporting
Prepare and maintain treasury related accounting schedules including cash debt and interest
Assist with basic bank transfer journal entries and supporting documentation
Support debt tracking including loan balances interest accruals and repayment schedules
Assist with month end and year end close activities related to cash and debt accounts
Prepare supporting schedules and reports for management and HQ
Company Administrative Affairs & Ad Hoc Support
Support company administrative matters including documentation expense tracking and vendor related records
Assist with invoice processing and administrative coordination as needed
Support organization and maintenance of internal files and records
Perform ad hoc treasury accounting or administrative tasks as assigned by management
Qualifications
Education & Experience
Bachelor s degree in Accounting Finance Business Administration or a related field
1 3 years of experience in treasury accounting or finance support roles
Skills & Competencies
Strong attention to detail and documentation accuracy
Solid understanding of basic accounting and treasury concepts
Proficiency in Excel
Ability to manage multiple tasks and handle ad hoc requests
Strong communication and organizational skills
Position Title: Treasury Accountant Pay range: $32 - $35/hr. Duration: 12 months Contract (Possible Extension) Location: Irvine CA 92614 Shift: Standard shift Job Description: Position Summary The Treasury Accountant supports the company s treasury and treasury related accounting operations inclu...
Position Title: Treasury Accountant
Pay range: $32 - $35/hr.
Duration: 12 months Contract (Possible Extension)
Location: Irvine CA 92614
Shift: Standard shift
Job Description:
Position Summary
The Treasury Accountant supports the company s treasury and treasury related accounting operations including cash management banking activities debt tracking and daily cash reporting. This role also supports company administrative matters and ad hoc tasks as assigned.
Key Responsibilities
Treasury & Cash Management
Assist with daily treasury activities including cash receipts disbursements and intercompany transfers
Monitor daily cash balances and support daily cash positioning and liquidity tracking
Prepare and maintain Daily Cash Reports including:
Submission to GAR
Verification of balances per financial statements and bank statements
Maintain and update Daily Cash files reflecting daily cash inflows (collections) and outflows (disbursements)
Banking Operations
Review and verify bank master information in Firm Banking systems ensuring accuracy of all required details (including ZIP codes)
Assist with bank account administration including documentation and coordination with banks as needed
Follow up on CBU payment remittance email requests
Organize track and maintain vendor payment confirmation emails for record keeping and reconciliation
Treasury Accounting & Reporting
Prepare and maintain treasury related accounting schedules including cash debt and interest
Assist with basic bank transfer journal entries and supporting documentation
Support debt tracking including loan balances interest accruals and repayment schedules
Assist with month end and year end close activities related to cash and debt accounts
Prepare supporting schedules and reports for management and HQ
Company Administrative Affairs & Ad Hoc Support
Support company administrative matters including documentation expense tracking and vendor related records
Assist with invoice processing and administrative coordination as needed
Support organization and maintenance of internal files and records
Perform ad hoc treasury accounting or administrative tasks as assigned by management
Qualifications
Education & Experience
Bachelor s degree in Accounting Finance Business Administration or a related field
1 3 years of experience in treasury accounting or finance support roles
Skills & Competencies
Strong attention to detail and documentation accuracy
Solid understanding of basic accounting and treasury concepts
Proficiency in Excel
Ability to manage multiple tasks and handle ad hoc requests