Hybrid in Chicago, Illinois
•
3d ago
Banking, treasury and CPA preferred but not mandatory, but strong in accounting. Responsibilities include Treasury/Cash Management activities. Also, assist in preparing journal entries, performs reconciliations, and performs account analysis. Audits various bank accounts and GL accounts to verify accuracy. Bachelors Degree with 1-5 years of experience. Generally reports to Director, Treasury. Treasury Specific: Help Support with Daily and month-end Cash Management, Investment, and Accounting act
Easy Apply
Third Party, Contract
Depends on Experience