Relomote
Remote JobsRelocation Jobs
Add companySaved
Relomote

Relomote is a job board for remote, hybrid, and relocation jobs — every listing AI-classified for the countries it actually hires from, or the visa and relocation support it offers.

LinkedInCrunchbase

Remote jobs by category

  • Remote Engineering & Development jobs
  • Remote Customer Support jobs
  • Remote Design jobs
  • Remote Marketing jobs
  • Remote Sales jobs
  • Remote Product jobs
  • Remote Data & Analytics jobs
  • Remote People & Talent jobs
  • Remote Writing & Content Creation jobs
  • Remote Finance jobs
  • Remote Legal & Compliance jobs
  • Remote Operations & Admin jobs
  • Remote Data Entry jobs
  • Remote Virtual Assistant jobs
  • Remote Education/Training jobs
  • Remote Healthcare/Clinical jobs
  • Remote Other jobs

Remote jobs by location

  • Work from anywhere jobs
  • Remote jobs in Africa
  • Remote jobs in Asia
  • Remote jobs in Europe
  • Remote jobs in Latin America
  • Remote jobs in Middle East
  • Remote jobs in North America
  • Remote jobs in Oceania
  • All remote jobs →

Relocation & visa sponsorship

  • Visa sponsorship jobs
  • Relocation package jobs
  • Relocate to Europe
  • Relocate to Germany
  • Relocate to Netherlands
  • Relocate to Spain
  • Relocate to Portugal
  • Relocate to Greece
  • Relocate to United Kingdom
  • Relocate to Canada
  • Relocate to Australia
  • Relocate to Sweden
  • Relocate to Switzerland
  • Relocate to Japan
  • Relocate to United Arab Emirates
  • All relocation jobs →

© 2026 RelomoteAboutPrivacyTerms

Contact [email protected] · Built by Mahmoud

Relomote
Remote JobsRelocation Jobs
Add companySaved
DR

Cash Management Specialist

Dead River Company
Posted 12 hours ago
🇺🇸United States🏢Hybrid📁Other
Is this job info correct?

This position is based out of our South Portland, ME office. This is a hybrid role Hourly pay range: $22.00-$34.00 based on experience Position Summary: The Cash Management Specialist accurately and timely prepares reports on daily cash transactions made through Dead River Company accounts for use by senior management in making cash management decisions, and to ensure the integrity of monthly financial statements. Essential Functions: Reviews the previous day bank statement for transaction activity. Prepares journal entries to post banking transactions to the accounting general ledger. Analyzes daily E3 cash activity for all markets for any errors/adjustments and makes necessary corrections. Loads activity into the accounting general ledger from the E3 Cash Recon Program. Calculates and prepares the company’s daily cash position. Compiles activity from the previous day banking statement, current day banking statement, and payment requests throughout the company to determine forecasted cash position. Reconciles differences between forecasted and actual position. Communicates forecast to upper management. Facilitates incoming and outgoing payments through ACH transactions, wires, and other payment methods. Processes monthly budget EFT file, confirms payment files, and performs other file maintenance. Posts customer payments made through the company’s lockbox or online payment system for ACH and credit card payments. Researches and resolves any exceptions or discrepancies. Prepares banking deposit for any miscellaneous cash and/or checks received at the corporate location. Utilizes remote deposit scanner to facilitate deposit. Responds to questions from market locations regarding payment transactions, NSF’s, LIHEAP, etc. Maintains and identifies sources of customer payments being returned for insufficient funds or incorrect banking information. Posts activity to customer’s accounts, and notifies market locations for customer resolution. Posts quarterly bad debt write-offs, recoveries, and adjustments to customer accounts per the instructions from the Credit Team. Prepares various bank account reconciliations as directed by the Manager of Treasury Services. Reviews market cash over/shorts, researches any discrepancies, and communicates variances to upper management. Researches outstanding accounts payable checks, and cancels as requested. Cross trained with other treasury peers to perform all treasury functions. Performs other treasury functions and/or special projects as assigned. Experience: Minimum 2 years of experience working in a banking and/or transactional environment, accounting, or other related field. Other Attributes Required: Fast and accurate data entry skills. Strong analytical skills and attention to detail. Basic research skills to investigate cash discrepancies. High mathematical aptitude. Commitment to maintaining computer systems for accounting control. Basic understanding of GAAP and accounting concepts. Excellent communication and interpersonal skills. Ability to manage multiple priorities and meet daily deadlines. Intermediate to advanced MSOffice skills, particularly Excel. Knowledge of Sage/Intacct Education: Bachelor’s degree in Accounting, Business Administration or a related field or an equivalent combination of education and experience is required.

Similar jobs

Similar jobs

Sargent & Lundy logo

Lead Electrical Specialist 1 - Construction Management

Sargent & Lundy

🇺🇸United States11 hours ago
Mayo Career Site US logo

Data Management Specialist

Mayo Career Site US

🇺🇸United States11 hours ago
True Zero Technologies logo

Organization Change Management Specialist (R-00217)

True Zero Technologies

🇺🇸United States11 hours ago
Wesco logo

Specialist - Program Management

Wesco

🇺🇸United States11 hours ago
Honeywell logo

Sr Product Management Specialist - Semiconductor

Honeywell

🇺🇸United States12 hours ago
Honeywell logo

Sr Offering Management Specialist - Enterprise

Honeywell

🇺🇸United States12 hours ago