The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Leverage insights from Cash Reconciliation Analysts regarding recurring variance patterns to refine month-end accrual models and journal entry workflows. * Calculate, validate, and record month-end ...
Cash Operations Manager
Indianapolis, IN · On-site
Directly manage, coach, and evaluate Cash Reconciliation Analysts and Accountants; allocate workload and manage cross-fascia performance. * Champion analyst-driven data quality initiatives, acting on ...
Cash Operations Manager
Indianapolis, IN · On-site
Directly manage, coach, and evaluate Cash Reconciliation Analysts and Accountants; allocate workload and manage cross-fascia performance. * Champion analyst-driven data quality initiatives, acting on ...
Directly manage, coach, and evaluate Cash Reconciliation Analysts and Accountants; allocate workload and manage cross-fascia performance. * Champion analyst-driven data quality initiatives, acting on ...
Directly manage, coach, and evaluate Cash Reconciliation Analysts and Accountants; allocate workload and manage cross-fascia performance. * Champion analyst-driven data quality initiatives, acting on ...
Cash Management Manager
Indianapolis, IN · On-site
The company's comprehensive suite of originations, servicing, and analytics solutions together with ... cash reconciliation from multiple payment avenues (lockbox, ACH, card, online bill pay), and ...
Cash Management Manager
Indianapolis, IN · On-site
The company's comprehensive suite of originations, servicing, and analytics solutions together with ... cash reconciliation from multiple payment avenues (lockbox, ACH, card, online bill pay), and ...
Perform bank account reconciliations and investigate variances ina timelyandaccuratemanner ... Analytical Reasoning, Banking and Financial Services Platforms, Business Data Analysis, Cash ...
Perform bank account reconciliations and investigate variances ina timelyandaccuratemanner ... Analytical Reasoning, Banking and Financial Services Platforms, Business Data Analysis, Cash ...
Perform bank account reconciliations and investigate variances ina timelyandaccuratemanner ... Analytical Reasoning, Banking and Financial Services Platforms, Business Data Analysis, Cash ...
Perform bank account reconciliations and investigate variances ina timelyandaccuratemanner ... Analytical Reasoning, Banking and Financial Services Platforms, Business Data Analysis, Cash ...
... Analyst. This role will support reconciliation, cash oversight, payment research, and claims ... Lead daily transaction and cash reconciliations across internal systems, custodians, and ...
... Analyst. This role will support reconciliation, cash oversight, payment research, and claims ... Lead daily transaction and cash reconciliations across internal systems, custodians, and ...
... Analyst. This role will support reconciliation, cash oversight, payment research, and claims ... Lead daily transaction and cash reconciliations across internal systems, custodians, and ...
... Analyst. This role will support reconciliation, cash oversight, payment research, and claims ... Lead daily transaction and cash reconciliations across internal systems, custodians, and ...
Assistant Controller
Gary, IN · On-site
Manage accounts receivable, collections, customer invoicing, cash receipts, and aging analysis. * Process accounts payable, vendor invoices, payment runs, accruals, and vendor reconciliations.
Assistant Controller
Gary, IN · On-site
Manage accounts receivable, collections, customer invoicing, cash receipts, and aging analysis. * Process accounts payable, vendor invoices, payment runs, accruals, and vendor reconciliations.
Treasury Analyst
Fort Wayne, IN · On-site
Steel Dynamics Reports directly to Treasury Director focusing on 1) analysis, reporting, and reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and ...
Treasury Analyst
Fort Wayne, IN · On-site
Steel Dynamics Reports directly to Treasury Director focusing on 1) analysis, reporting, and reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Key Carrier
Mount Vernon, IN · On-site
... cash register transactions, daily cash reconciliation, and inventory control. * Resolve and/or ... Gather and analyze data and maintain accurate records. * Take initiative, assume responsibility ...
Treasury Analyst
Fort Wayne, IN · On-site
... reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and payment processes; and 3) analysis of other treasury topics as needed. Responsibilities ...
Treasury Analyst
Fort Wayne, IN · On-site
... reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and payment processes; and 3) analysis of other treasury topics as needed. Responsibilities ...
... reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and payment processes; and 3) analysis of other treasury topics as needed. Responsibilities ...
... reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and payment processes; and 3) analysis of other treasury topics as needed. Responsibilities ...
Cash Reconciliation Analyst information
See Indiana salary details
$17.61 - $19.69
7% of jobs
$19.69 - $21.77
3% of jobs
$21.77 - $23.85
9% of jobs
$23.85 - $25.93
3% of jobs
$26.40 is the 25th percentile. Wages below this are outliers.
$25.93 - $28.01
12% of jobs
The median wage is $29.17 / hr.
$28.01 - $30.09
29% of jobs
$31.93 is the 75th percentile. Wages above this are outliers.
$30.09 - $32.17
14% of jobs
$32.17 - $34.25
9% of jobs
$34.25 - $36.33
9% of jobs
$36.33 - $38.41
3% of jobs
$38.41 - $40.49
3% of jobs
$17
$29
$40
How much do cash reconciliation analyst jobs pay per hour?
What is a cash reconciliation analyst?
What are the key skills and qualifications needed to thrive as a cash reconciliation analyst, and why are they important?
What are the typical challenges faced by a cash reconciliation analyst, and how can they be addressed?
What is the difference between Cash Reconciliation Analyst vs Accounts Payable Specialist?
| Aspect | Cash Reconciliation Analyst | Accounts Payable Specialist |
|---|---|---|
| Primary Focus | Reconciling cash accounts and ensuring accuracy of cash transactions | Processing and managing outgoing payments to vendors |
| Required Skills | Financial analysis, attention to detail, reconciliation procedures | Invoice processing, vendor communication, payment processing |
| Work Environment | Finance or accounting departments, often in banking or corporate finance | Accounts payable or finance departments, in various industries |
| Certifications | Generally CPA or similar finance certifications beneficial | Typically no specific certifications required, but accounting certifications helpful |
The main difference is that a Cash Reconciliation Analyst focuses on verifying and reconciling cash transactions and balances, while an Accounts Payable Specialist manages outgoing payments to vendors. Both roles require attention to detail and financial knowledge but serve different functions within the finance department.
Is reconciliation a good career?
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For Cash Reconciliation Analyst jobs in Indiana, the most frequently searched job titles are:
What job categories do people searching Cash Reconciliation Analyst jobs in Indiana look for?
The top searched job categories for Cash Reconciliation Analyst jobs in Indiana are:
- Junior Financial Operations Analyst
- Financial Analyst Government Contractor
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- Flexible Real Estate Financial Modeling
- Financial Analyst Inventory
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What cities in Indiana are hiring for Cash Reconciliation Analyst jobs?
Cities in Indiana with the most Cash Reconciliation Analyst job openings:

Cash Reconciliation Analyst
Indianapolis, IN • On-site
Other
Posted 10 days ago
Job description
The Cash Reconciliation Analyst is responsible for reconciling daily cash and electronic payment transactions across Workday, banks, payment processors, and Cadency, resolving variances and aging items within SLA requirements. Analyze data quality and reconciliation trends while improving matching rules, supporting month-end close and audits, and partnering with cross-functional teams to strengthen automation and efficiency.
Key Responsibilities
- Monitor, validate, and manage data quality across the daily ingestion of Workday Accounting Center/GL data, bank BAI/IFS files, and payment processor settlement files into Cadency.
- Investigate and resolve unmatched lines and variances within Cadency's daily cash transaction matching and electronic payment transaction matching modules.
- Perform root-cause analysis on mismatched transactions across all tender types (Cash, Credit Card, PayPal, Venmo, BNPL) within Cadency to identify systemic patterns, recurring file errors, and opportunities for automation.
- Track and clear aging items in cash clearing accounts (1020/1030/1040), focusing on resolving Deposits-in-Transit (DIT) within target cycle times.
- Refine and optimize automated matching rules and rule hierarchies within Cadency to maximize auto-match percentages, eliminate redundant manual intervention, and boost daily processing capacity.
- Maintain adherence to daily operational SLAs by resolving Cadency matching error queues within 2 business days.
- Partner proactively with store managers, field operations, IT, and banking partners to address physical cash discrepancies at the source, resolve missing store deposits, and enforce upstream data quality standards.
- Produce weekly and monthly data quality and trend analyses covering processor settlement delays, recurring data feed failures, tender fee discrepancies, and manual intervention rates.
- Collaborate with upstream (IT, Treasury, Bank/Processor Feeds) and downstream (Accounting, Financial Reporting) business partners to streamline data pipelines, eliminate manual workarounds, and enable end-to-end automation.
- Provide transaction-level matching data and Cadency audit trails to support internal and external audit requests.
- Continuously analyze daily reconciliation workflows and system exception queues to identify patterns, recommending system rule adjustments, data validation checks, and process enhancements to optimize overall team efficiency.
- Perform calculations and analytical reviews for monthly tender fee accruals and e-commerce in-transit items feeding the month-end close.
Required Education and/or Experience
Bachelor’s degree in Accounting or Finance preferred but not required; 1-3 years of relevant work experience functions, with experience managing high-volume transaction matching and month-end close processes; or an equivalent combination of education and experience. Proven experience monitoring and maintaining accounting or reconciliation teams, with the ability to collaborate effectively across Finance, Treasury, IT, and external partners in a complex, fast-paced environment.
Required Computer and Technical Skills
Proficiency in all Microsoft Office equivalent programs along with experience with ERP and reconciliation systems, preferably Workday and Cadency, as well as bank and third-party payment processor integrations.
Physical Demands
The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
- Sit for more than 6 hours per shift
- Use hands to finger, handle and feel
- Reach with hands and arms
- Talk and/or hear
- Stand for up to 2 hours at a time periodically
- Walk or move from one location to another
- Occasionally may need to climb, balance, stoop, kneel, or crouch
- Lift and/or move up to 10 pounds regularly and up to 25 pounds occasionally
- Punctuality and regular attendance consistent with the company’s policies are required for the position.
- Average work week is 45-50 hours, which can vary depending on business need.
- The work environment for this position is a moderately noisy office setting.
The company reserves the right to modify this job description with or without notice. Employees may be asked to perform additional duties outside of normal job scope on a temporary basis per company policy.
#LI-DNI
This job description is not intended to cover all aspects, duties, and/or responsibilities required of employees. Employees may be asked to perform additional duties outside of normal job scope on a temporary or permanent basis per company policy. The company reserves the right to modify this job description with or without notice.
EEO Statement:
The Finish Line, Inc. is an Equal Employment Opportunity employer and is committed to complying with all federal, state, and local EEO laws. The Finish Line, Inc. prohibits discrimination against employees and applicants for employment based on race or color, religion or creed, national origin, alienage or citizenship status, marital status, sex, pregnancy status, age, military status, disability, or any other characteristic or class protected by law. The Finish Line, Inc. provides reasonable accommodations in accordance with applicable laws, including for disabilities, pregnancy, and religious practices.
Need accessibility assistance to apply?
Applicants who require accessibility assistance to submit an employment application can either call Finish Line at (317) 613-6890 or email us at talentacquisition@finishline.com. A member of our Talent Acquisition team will respond as soon as reasonably possible. (This email address and phone number is only for individuals seeking accommodation when applying for a job.)