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Cash Operations Jobs in Indiana (NOW HIRING)

The position offers exposure to regional treasury operations, crossfunctional collaboration, and ... Support daily cash positioning, forecasting, and reporting activities for the Americas region to ...

The Cash Logistics Supervisor is responsible supervising the inside currency operation. This position ensures accountability and the security of all liability and prioritizes daily operations ...

Our network of operations in 52 countries serves customers in more than 100 countries. We believe ... The Cash Logistics Supervisor is responsible supervising the inside currency operation. This ...

Crew Member

Tillman, IN · On-site

$10.75 - $14/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Crew Member

Bluffton, IN · On-site

$11 - $14.25/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Crew Member

Columbia City, IN · On-site

$11 - $14.50/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Crew Member

Auburn, IN · On-site

$11.25 - $14.75/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Crew Member

Clinton, IN · On-site

$11.25 - $14.75/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Crew Member

New Albany, IN · On-site

$11 - $14.50/hr

... cash operations policies Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service Preps store for opening Closes store (restocks ...

Our network of operations in 52 countries serves customers in more than 100 countries. We believe ... Our Cash Logistics Processors enjoy a casual working environment and high-responsibility work that ...

Our network of operations in 52 countries serves customers in more than 100 countries. We believe ... Our Cash Logistics Processors enjoy a casual working environment and high-responsibility work that ...

Crew Member

Fort Wayne, IN · On-site

$11.75 - $15.50/hr

... cash operations policies • Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service • Preps store for opening • Closes store ...

Crew Member

Mishawaka, IN · On-site

$11 - $14.50/hr

... cash operations policies • Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service • Preps store for opening • Closes store ...

Crew Member

Fort Wayne, IN · On-site

$11.75 - $15.50/hr

... cash operations policies • Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service • Preps store for opening • Closes store ...

Crew Member

Fort Wayne, IN · On-site

$11.75 - $15.50/hr

... cash operations policies • Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service • Preps store for opening • Closes store ...

Crew Member

South Bend, IN · On-site

$11.75 - $15.50/hr

... cash operations policies • Takes orders from customers, personally and from intercom system, interfaces with customers and provides quality service • Preps store for opening • Closes store ...

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Cash Operations information

What are the key skills and qualifications needed to thrive in Cash Operations, and why are they important?

To thrive in Cash Operations, you need a strong understanding of financial processes, attention to detail, and proficiency in reconciliation and cash management, often supported by a degree in finance or accounting. Familiarity with treasury management systems, Excel, and sometimes certifications like Certified Treasury Professional (CTP) are typically required. Strong analytical skills, integrity, and effective communication are essential soft skills for problem-solving and teamwork. These abilities ensure accurate cash flow management, risk mitigation, and efficient operations within financial institutions or corporate environments.

What are some common challenges faced in a Cash Operations role and how can they be addressed?

Professionals in Cash Operations often encounter challenges such as managing high transaction volumes with tight deadlines, ensuring accuracy in reconciliations, and adapting to evolving regulatory requirements. Attention to detail and strong organizational skills are critical to minimize errors and discrepancies. Building open communication channels within the team and collaborating closely with other departments, such as accounting and compliance, can help address these challenges effectively. Leveraging automation tools and staying updated on industry best practices also contribute to smoother daily operations.

What are Cash Operations?

Cash Operations refers to the processes and activities involved in managing a company's cash flow, including the handling of incoming and outgoing funds, processing payments, cash reconciliation, and ensuring the accuracy and security of financial transactions. Professionals in Cash Operations often work within banks, financial institutions, or large corporations, ensuring that all cash-related transactions are efficiently processed and properly recorded. Their responsibilities may also include monitoring account balances, preparing reports, and collaborating with other departments to optimize cash management. This role is critical for maintaining liquidity and supporting overall financial stability.

What is the difference between Cash Operations vs Cash Management?

AspectCash OperationsCash Management
Primary FocusProcessing and handling daily cash transactions, ensuring accuracy in cash flowStrategic planning and oversight of cash resources to optimize liquidity
ResponsibilitiesCash reconciliation, deposit processing, cash handling proceduresCash forecasting, banking relationships, liquidity management
Work EnvironmentBank branches, finance departments, cash handling centersCorporate finance teams, treasury departments
CertificationsTypically none required, but certifications like Cash Handling or Treasury certifications can helpCertifications like Certified Treasury Professional (CTP) are common

Cash Operations focuses on the day-to-day processing of cash transactions, ensuring accuracy and security. Cash Management involves strategic oversight of cash flow, liquidity, and banking relationships. While both roles handle cash, Cash Operations is more transactional, whereas Cash Management is strategic and planning-oriented.

What are popular job titles related to Cash Operations jobs in Indiana? For Cash Operations jobs in Indiana, the most frequently searched job titles are:
What job categories do people searching Cash Operations jobs in Indiana look for? The top searched job categories for Cash Operations jobs in Indiana are:
What cities in Indiana are hiring for Cash Operations jobs? Cities in Indiana with the most Cash Operations job openings:

Analyst, Americas Banking & Cash Mgmt

Jj

Warsaw, IN • On-site

Full-time

Retirement, PTO

Posted 13 days ago


Job description

At Johnson & Johnson,we believe health is everything. Our strength in healthcare innovation empowers us to build aworld where complex diseases are prevented, treated, and cured,where treatments are smarter and less invasive, andsolutions are personal.Through our expertise in Innovative Medicine and MedTech, we are uniquely positioned to innovate across the full spectrum of healthcare solutions today to deliver the breakthroughs of tomorrow, and profoundly impact health for humanity.Learn more at jnj.com

As guided by Our Credo, Johnson & Johnson is responsible to our employees who work with us throughout the world. We provide an inclusive work environment where each person is considered as an individual. At Johnson & Johnson, we respect the diversity and dignity of our employees and recognize their merit.

Job Function:

Finance

Job Sub Function:

Treasury

Job Category:

Professional

All Job Posting Locations:

Palm Beach Gardens, Florida, United States of America, Raritan, New Jersey, United States of America, Raynham, Massachusetts, United States of America, Warsaw, Indiana, United States of America, West Chester, Pennsylvania, United States of America

Job Description:

Johnson & Johnson announced plans to separate our Orthopaedics business to establish a standalone orthopaedics company, operating as DePuy Synthes. The process of the planned separation is anticipated to be completed within 18 to 24 months, subject to legal requirements, including consultation with works councils and other employee representative bodies, as may be required, regulatory approvals and other customary conditions and approvals. Should you accept this position, it is anticipated that, following conclusion of the transaction, you would be an employee of DePuy Synthes and your employment would be governed by DePuy Synthes employment processes, programs, policies, and benefit plans. In that case, details of any planned changes would be provided to you by DePuy Synthes at an appropriate time and subject to any necessary consultation processes.

DePuy Synthes is recruiting for a(n) Analyst, Americas Banking & CashMgmt,locatedin Raynham,MAorNew Brunswick, NJ, West Chester PA or Palm Beach Garden, FL.

TheSenior FinancialAnalyst,Banking & Cash Management supports the effective management of banking relationships, cash operations, and liquidity activities across the Americas region. This role plays a keypartin ensuringaccuratecash positioning, supporting treasury initiatives, andmaintainingstrong operational controls. The position offers exposure to regional treasury operations, crossfunctional collaboration, and opportunities to contribute to process improvement initiatives that support business growth and financial stability.

Key Responsibilities

  • Support daily cash positioning, forecasting, and reporting activities for the Americas region to ensure sufficient liquidity and visibility.

  • Assistwith the administration and maintenance of regional banking relationships, including account setup, documentation, and authorized signers.

  • Perform bank account reconciliations and investigate variances ina timelyandaccuratemanner.

  • Support cash management activities, including payments, collections, intercompany funding, and cash concentration structures.

  • Actively partake in the Implementationandsubsequentmaintenanceof theTreasury Management System (Kyriba), incl.user acceptance testing, roll-outofadditionalmodulesandonboard newbanking partners

  • Partner with internal stakeholders (Finance, Accounting, AP/AR, Tax) to support treasuryrelated processes and issue resolutionwith a particular focus onseamless integration ofpaymentand cash management processesintoKyribaAssistwith compliance activities related to internal controls, banking policies, and audit requirements.

  • Prepare standard and adhoc treasury reports, analyses, and documentation for management review.

  • Identifyopportunities for process improvements, automation, and efficiency within banking and cash management operations.

Qualifications

Education

  • Bachelor's degreerequiredin Finance, Accounting, Business Administration, Economics, ora relatedfield.

  • Master's degree or MBA preferred.

Experience and Skills

Required:

  • 4-6years of relevant experience in treasury, cash management, banking operations, finance, or accounting roles.

  • Working knowledge of cash management concepts, bank reconciliations, and financial controls.

  • Strong analytical skills with attention to detail and accuracy.

  • Proficiencyin Microsoft Excel and other Microsoft Office applications.

  • Ability to manage multiple priorities and meet deadlines in a fastpaced environment.

  • Strong written and verbal communication skills.

Preferred:

  • Priorexposure to treasury management systems (TMS) and ERP platforms.

  • Experience supporting regional or multientity cash operations.

  • Understanding ofintercompany funding and liquidity structures.

  • Experience working in a large, matrixed, or multinational organization.

  • Demonstrated interest in treasury, banking, or corporate finance career paths.

Other:

  • Language requirements: Englishrequired;additionallanguages a plus.

  • Travel: Up to 5% domestic travel, as business needs require.

  • Certifications: Treasuryrelated certifications (e.g., CTP)preferredbut notrequired.

  • For more information on how we support the whole health of our employees throughout their wellness,careerand life journey, please visitwww.careers.jnj.com.

Johnson & Johnson announced plans to separate ourOrthopaedicsbusiness toestablisha standaloneorthopaedicscompany,operatingas DePuy Synthes. The process of the planned separation isanticipatedto be completed within 18 to24 months, subject to legal requirements, including consultation with works councils and other employee representative bodies, as may berequired, regulatory approvals and other customary conditions and approvals. Should you accept this position, it isanticipatedthat, following conclusion of the transaction, you would be an employee of DePuySynthesand your employment would be governed by DePuy Synthes employment processes, programs, policies, and benefit plans. In that case, details of any planned changes would be provided to you by DePuy Synthes atan appropriate timeand subject to any necessary consultation processes.

Johnson & Johnsonisan Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, age, national origin, disability, protected veteran status or other characteristics protected by federal,stateor local law. We actively seek qualified candidates who areprotectedveterans and individuals with disabilities as defined under VEVRAA and Section 503 of the Rehabilitation Act.

Johnson & Johnson is committed to providing an interview process that is inclusive of our applicants' needs. If you are an individual with a disability and would like to requestan accommodation, external applicants please contact us viahttps://www.jnj.com/contact-us/careers, internal employees contactAskGSto be directed to your accommodation resource.

#LI-Hybrid

#DePuySynthesCareers

Required Skills:

Preferred Skills:

Analytical Reasoning, Banking and Financial Services Platforms, Business Data Analysis, Cash Management, Communication, Controls Compliance, Financial Analysis, Financial Competence, Financial Forecasting, Financial Risk Management (FRM), Mentorship, Multi Currency Accounting, Organizing, Problem Solving, Risk Assessments, Risk Management Framework, Standard Operating Procedure (SOP), Treasury Management

The anticipated base pay range for this position is :

$94,000.00 - $151,800.00

Additional Description for Pay Transparency:

Subject to the terms of their respective plans, employees are eligible to participate in the Company's consolidated retirement plan (pension) and savings plan (401(k)).
Subject to the terms of their respective policies and date of hire, employees are eligible for the following time off benefits:
Vacation -120 hours per calendar year
Sick time - 40 hours per calendar year; for employees who reside in the State of Colorado -48 hours per calendar year; for employees who reside in the State of Washington -56 hours per calendar year
Holiday pay, including Floating Holidays -13 days per calendar year
Work, Personal and Family Time - up to 40 hours per calendar year
Parental Leave - 480 hours within one year of the birth/adoption/foster care of a child
Bereavement Leave - 240 hours for an immediate family member: 40 hours for an extended family member per calendar year
Caregiver Leave - 80 hours in a 52-week rolling period10 days
Volunteer Leave - 32 hours per calendar year
Military Spouse Time-Off - 80 hours per calendar year
Additional information can be found through the link below.
https://www.careers.jnj.com/employee-benefits