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Cash Processor Jobs in River Rouge, MI (NOW HIRING)

Senior Manager, Order-to-Cash

Detroit, MI · On-site

$138K - $208K/yr

Posting Type Remote/Hybrid Job Overview The Order-to-Cash (OTC) organization manages the end-to-end process that converts customer agreements into billed, collected, and reported revenue, serving as ...

Secretary

Novi, MI · On-site

$12/hr

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

Secretary

Novi, MI · On-site

$12/hr

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

Startup Secretary

Novi, MI · On-site

$12/hr

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

Startup Secretary

Novi, MI · On-site

$12/hr

... process checks payments. The secretary will overseas the quality assurance checks (handled by the team) on critical site elements, including store cash back, banner deployment, coupons, and ...

Collaborate effectively and efficiently with team members to manage order to cash process activities such as entering and processing orders, expediting, basic returns, back-order monitoring, sample ...

Accounts Receivable Specialist

Plymouth, MI · On-site

$19.25 - $25.50/hr

Investigate and resolve billing discrepancies, payment disputes, chargebacks, deductions, and unapplied cash. * Process customer refunds, credit memos, and account adjustments. * Reconcile accounts ...

Accounts Receivable Specialist

Plymouth, MI · On-site

$19.25 - $25.50/hr

Investigate and resolve billing discrepancies, payment disputes, chargebacks, deductions, and unapplied cash. * Process customer refunds, credit memos, and account adjustments. * Reconcile accounts ...

The Accounts Receivable Supervisor is responsible for supervision of employees with billing, cash processing and/or collection responsibilities. The Accounts Receivable Supervisor has responsibility ...

The Accounts Receivable Supervisor is responsible for supervision of employees with billing, cash processing and/or collection responsibilities. The Accounts Receivable Supervisor has responsibility ...

The Accounts Receivable Supervisor is responsible for supervision of employees with billing, cash processing and/or collection responsibilities. The Accounts Receivable Supervisor has responsibility ...

Showing results 41-60

Cash Processor information

See River Rouge, MI salary details

$8

$15

$24

How much do cash processor jobs pay per hour?

As of Sep 11, 2026, the average hourly pay for cash processor in River Rouge, MI is $15.80, according to ZipRecruiter salary data. Most workers in this role earn between $12.69 and $18.12 per hour, depending on experience, location, and employer.

What is a cash processor?

Cash processors are professionals responsible for handling, sorting, and verifying large volumes of cash within financial institutions, armored car companies, or cash management centers. Their duties typically include counting and reconciling cash, preparing deposits, and ensuring the accuracy and security of all cash transactions. Cash processors play a key role in maintaining the integrity of financial operations by following strict procedures to prevent losses or errors. They may also operate specialized equipment to count and bundle currency and coins. Attention to detail and adherence to security protocols are essential in this role.

What are the key skills and qualifications needed to thrive as a cash processor, and why are they important?

To thrive as a Cash Processor, you need strong numeracy, attention to detail, and experience with cash handling, often supported by a high school diploma or equivalent. Familiarity with currency counting machines, basic accounting software, and adherence to security protocols are typically required. Reliability, integrity, and the ability to work efficiently under pressure are essential soft skills for this role. These skills ensure accurate cash management, minimize errors, and maintain trust in financial operations.

What are some common challenges faced by cash processors, and how can they be managed effectively?

Cash processors often encounter challenges such as maintaining accuracy under time pressure and handling large volumes of cash securely. Mistakes in counting or sorting can lead to discrepancies, so attention to detail and adherence to strict protocols are crucial. Effective management involves regular training, use of advanced counting machines, and clear communication within the team. Additionally, following security procedures and ensuring a well-organized work environment help minimize errors and risks.

What is the difference between Cash Processor vs Cash Handler?

AspectCash ProcessorCash Handler
CredentialsBasic cash handling experience, possibly some certificationSimilar credentials, often with additional customer service skills
Work EnvironmentBank branches, retail stores, cash centersRetail stores, banks, casinos
Job DutiesCounting, sorting, and verifying cash; preparing depositsHandling cash transactions, assisting customers, cash register operation
Industry UsageFinancial institutions, retail, cash processing centersRetail, banking, hospitality

Cash Processor and Cash Handler roles share similar skills in cash management but differ mainly in scope. Cash Processors focus on verifying and preparing cash for deposit, while Cash Handlers often interact directly with customers and handle daily transactions. Both roles are essential in cash-intensive environments, with overlapping credentials and work settings.

What cities near River Rouge, MI are hiring for Cash Processor jobs?

Cities near River Rouge, MI with the most Cash Processor job openings:

Infographic showing various Cash Processor job openings in River Rouge, MI as of August 2026, with employment types broken down into 44% Full Time, 54% Part Time, and 2% Contract. Highlights an 97% Physical, 1% Hybrid, and 2% Remote job distribution, with an average salary of $32,857 per year, or $15.8 per hour.

Manager, Corp Accounting & Patient Billing Cash (Remote Considered)

Livonia, MI • On-site

Trinityhealth
Health Care and Social Assistance • 10K+ employees

Full-time

Posted 24 days ago


Trinity Health rating

6.6

Company rating: 6.6 out of 10

Based on 354 frontline employees who took The Breakroom Quiz


Job description

Employment Type:Full timeShift:Day ShiftDescription:

Manages daily cash balancing between general ledger and bank for all non-insurance cash for all Trinity Hospitals and Medical Group revenue received in centralized bank account. Performs daily cash posting reconciliation to ensure cash is balanced and reconciled to bank and three-way match to the TogetherCare (Epic) posting process. Works to ensure internal controls and cash is balanced to meet the organization goals for stewardship of resources and internal controls and to ensure sound financial practices. This position works closely with the Manager of Accounting for System Office and Shared Services, and coordinates work with the Director Cash Application and Customer Service in the PBS responsible for the balancing of cash to the TogetherCare accounts receivable trial balance.

ESSENTIAL FUNCTIONS

Knows, understands, incorporates, and demonstrates the Trinity Health Mission, Vision, and Values in behaviors, practices, and decisions.

Manages and oversees day-to-day activities and responsibilities of cash reconciliation of all incoming cash payments to patient pay non-insurance account and balances bank and general ledger in order to achieve strong internal controls over cash and general ledger balances. (Approximately $500 million annually, and 7,000 - 10,000 transactions daily)

Manages and oversees day-to-day activities and responsibilities of patient accounts receivable refunds of all cash payments to patient and insurance balances for credit balances. Coordinates and reconciles refunds processed by outside agency to the general ledger in order to achieve strong internal controls over refunded cash and general ledger balances.

Responsible for the supervision of cash posting accountant and ensures all cash posting activities are reconciled between bank and general ledger in a timely, accurate and compliant manner.

Develops plans for transfer of cash to Ministries on a recurring basis and works with the Manager of Accounting to ensure appropriate controls and intercompany balances. Communicates with Ministry finance personnel to ensure proper and accurate monthly recording of inter-company transactions or to investigate and resolve intercompany issues.

Works in coordination with the Director Cash Application and Customer Services regarding balancing to the TogetherCare (Epic) accounts receivable sub ledger and to ensure discrepancies are clearing in a timely manner.

Develops and manages accounting policies and procedures for central cash and refund accounts ensuring appropriate internal controls are in place. Manages operation of the accounting process for the central bank account and refund accounts ensuring stewardship of the financial resources and reporting controls between bank and general ledger.

Reviews cash deposit trends, makes recommendations for resolution of issues to improve efficiency of reconciliation and collaborates with Director Cash Application and Customer Service and other PBS leadership.

Participates with Manager Accounting, Treasury staff and the Director Cash Application and Customer Service in the design and improvement of cash posting processes and systems to improve internal controls and productivity/quality to achieve departmental goals and process outcomes.

Manages continuous quality improvement initiatives across the cash posting team and other departments within the PBS to streamline processes.

Manages refund process for reissues and voids and escheats in accordance with state regulations in order to ensure compliance with laws and regulations.

Manages and supervises the daily function, responsibilities and career development of the cash reconciliation Accountant(s). Oversees hiring, allocation of daily work, review of reconciliations, annual performance reviews, and reviews work of staff for accuracy and quality assurance.

Maintains a working knowledge of applicable Federal, State, and local laws and regulations, Trinity Health's Integrity and Compliance Program and Code of Conduct, as well as other policies and procedures to ensure adherence in a manner that reflects honest, ethical, and professional behavior.

MINIMUM QUALIFICATIONS

Thorough knowledge of accounting principles, internal controls and financial management as normally obtained through a Bachelor's degree in Accounting or Finance along with a minimum of five (5) years of progressively responsible management level accounting experience or an equivalent combinate of education and experience. CPA or equivalent experience preferred. Experience in a healthcare organization with experience in multi-entity financial statements is desired.

Must possess a comprehensive knowledge of revenue cycle functions and systems, within the area of revenue management, specifically experience with cash reconciliation and refunds or other management functions related to revenue cycle activities.

Must have a strong working knowledge of generally accepted accounting principles and be able to develop, review and interpret bank statements, account activity general ledger transactions and related financial information.

Must possess strong understanding of financial information systems. Must have knowledge of sub-ledgers, which feed into general ledger, which then flows into financial statements. Strong Excel skills. Knowledge of PeopleSoft and Epic Revenue Cycle preferred.

Must possess strong conceptual and analytical skills.

Ability to communicate effectively to management and professionals at all levels and with diverse backgrounds.

Ability to coordinate, obtain and analyze data from a variety of sources, both internal and external, to the department.

Effective critical thinking, problem solving and decision-making skills. Strong quantitative and analytical abilities to process and display data.

Must be comfortable operating in a collaborative, shared leadership environment. Must possess the ability to achieve results without direct line accountability

Must have flexibility to respond to frequent shifts in priorities and to fulfill the requirements of senior management and program leaders.

Must possess a personal presence that is characterized by a sense of honesty, integrity, and caring with the ability to inspire and motivate others to promote the philosophy, mission, vision, goals, and values of Trinity Health.

PHYSICAL AND MENTAL REQUIREMENTS AND WORKING CONDITIONS

This position operates in a typical office environment. The area is well lit, temperature controlled and free from hazards.

Incumbent communicates frequently, in person and over the phone, with people in all locations on product support issues.

Manual dexterity is needed to operate a keyboard. Hearing is needed for extensive telephone and in person communication.

The environment in which the incumbent will work requires the ability to concentrate, meet deadlines, work on several projects at the same time and adapt to interruptions

Must be able to set and organize own work priorities and adapt to them as they change frequently. Must be able to work concurrently on a variety of tasks/projects in an environment that may be stressful with individuals having diverse personalities and work styles.

Must possess the ability to comply with Trinity Health policies and procedures.

The above statements are intended to describe the general nature and level of work being performed by persons assigned to this classification. They are not to be construed as an exhaustive list of duties so assigned

Our Commitment

Rooted in our Mission and Core Values, we honor the dignity of every person and recognize the unique perspectives, experiences, and talents each colleague brings. By finding common ground and embracing our differences, we grow stronger together and deliver more compassionate, person-centered care. We are an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, veteran status, or any other status protected by federal, state, or local law.


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About Trinity Health

Sourced by ZipRecruiter

Trinity Health Ann Arbor is a 537 -bed teaching hospital located on 340 acre campus. Recognized by IBM Watson as a Top 100 Hospital and #1 Teaching Hospital, Trinity Health Ann Arbor has been a leading health care provider for more than 100 years. Trinity Health has received numerous local and national awards in recognition of our leadership, quality outcomes, and clinical excellence.

Industry

Health care and social assistance

Company size

10,000+ Employees

Headquarters location

Livonia, MI, US