Cash Reconciliation Specialist at Charter Foods Inc
Morristown, Tennessee, United States -
Full Time


Start Date

Immediate

Expiry Date

18 May, 26

Salary

40000.0

Posted On

17 Feb, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Credit Card Receipts, Account Reconciliation, Remote Deposit Capture, Online Banking, ACH Transfers, Wire Transfers, Sales Reporting, Bank Reconciliations, Attention To Detail, Deadline Adherence, Data Entry, Problem Solving, Excel, Great Plains, Business Central

Industry

Restaurants

Description
Description Cash Reconciliation Specialist Our company is seeking a Cash Reconciliation Specialist to join our team in Morristown, TN. The successful candidate for this position must enjoy working in a small office environment, work with a sense of urgency and accuracy, and possess a positive attitude with the ability to adapt quickly. Organizational skills are a must. Cash Reconciliation Specialist Responsibilities: Performs Cash Management operations involving cash deposits and credit card receipts and other duties with accuracy and timeliness. Daily tracking and reconciliation of cash and credit card receipts by unit Complete daily functions associated with account reconciliation, remote deposit capture and online banking. Transfer monetary funds via ACH and wire transfers daily ensuring all post and balance Prepare and update sales reports paying special attention to cash/credit card variances Perform follow-up on all monetary variances exceeding company limit Performs bank reconciliations Other duties as assigned. Cash Reconciliation Specialist Requirements: Bachelor’s Degree preferred in Business/Accounting or a minimum 2-5 years banking operations or similar cash management/accounting experience. Previous experience performing work requiring attention to detail and adherence to daily deadlines. Demonstrated ability to work in a fast-paced, deadline-driven, team environment while maintaining outstanding organization and attention to detail. Demonstrated ability to accurately and quickly key accounting data. Ability to solve problems independently and as part of a team. Excellent working knowledge of Excel(Pivot tables, Lookups) Experience with Great Plains and/or Business Central is preferred. Knowledge of accounting Principals Ability to prioritize and perform effectively to complete work in a timely manner. Professional verbal and written communication skills. Must possess a positive attitude. Job Type: Full-time Salary: $36,000.00 - $40,000.00 per year Benefits: 401(k) 401(k) matching Dental insurance Health insurance Life insurance Paid time off Vision insurance Schedule: Monday to Friday Job Types: Full-time, Part-time Benefits: 401(k) 401(k) matching Dental insurance Health insurance Health savings account Life insurance Paid time off Vision insurance Work Location: In person Requirements Cash Reconciliation Specialist Requirements: Bachelor’s Degree preferred in Business/Accounting or a minimum 2-5 years banking operations or similar cash management/accounting experience. Previous experience performing work requiring attention to detail and adherence to daily deadlines. Demonstrated ability to work in a fast-paced, deadline-driven, team environment while maintaining outstanding organization and attention to detail. Demonstrated ability to accurately and quickly key accounting data. Ability to solve problems independently and as part of a team. Excellent working knowledge of Excel(Pivot tables, Lookups) Experience with Great Plains and/or Business Central is preferred. Knowledge of accounting Principals Ability to prioritize and perform effectively to complete work in a timely manner. Professional verbal and written communication skills. Must possess a positive attitude.
Responsibilities
The specialist performs cash management operations including handling deposits and credit card receipts, daily tracking, and reconciliation of these items by unit. Key duties involve completing daily functions for account reconciliation, remote deposit capture, online banking, and preparing/updating sales reports while investigating variances.
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