Job Description
Staff Accountant – Treasury & Cash Management
This is a temporary position with strong possibility of temp to hire. Great company with excellent benefits and career growth.
Offers a hybrid schedule and must be local to Southern California.
About the Role
We are currently seeking a detail-oriented and motivated Staff Accountant with a strong background in treasury and cash management to join our growing finance team. This role is ideal for someone who enjoys daily cash operations, journal entry preparation, and cross-functional collaboration across accounting functions.
The ideal candidate will be experienced in daily cash reconciliation, journal entries, interest tracking, and general ledger accounting. This position offers exposure to various aspects of corporate accounting and provides an opportunity to play a key role in supporting daily treasury functions.
Key Responsibilities for the Staff Accountant:
Responsible for the treasury and cash management
Download and review daily bank statements
Apply ACH and cash receipts through journal entries
Track and reconcile short-term borrowings
Record and allocate monthly bank fees accurately
Prepare and post journal entries to the general ledger
Support month-end and year-end close activities
Assist in tracking and reconciling short- and long-term interest accruals and payments
Ensure all treasury-related transactions are accurately recorded and supported
Create and issue operational invoices
Provide support for internal and external audit requests
Qualifications for the Staff Accountant:
Bachelor’s degree in Accounting, Finance, or a related field
2 plus years of relevant accounting experience, with a focus on treasury/cash management
Strong knowledge of general ledger accounting and journal entry preparation
Advanced Excel skills (formulas, reconciliations, spreadsheets tracking)
Familiarity with ERP systems (e.g., SAP, Oracle, JD Edwards) preferred
Excellent attention to detail and time management skills
Strong communication and interpersonal skills
Why apply?
Be part of a collaborative and supportive accounting team
Gain hands-on experience with treasury and cash operations
Opportunities for career growth and skill developmentPandoLogic. Keywords: Financial Analyst, Location: Glendale, CA - 91210, PL: 597456670
Full-time
Hybrid remote