Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Quick apply
Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Cash Reconciliation Specialist LV Petroleum Location: LV Petroleum Corporate Headquarters - Las ... Strong organizational and time management skills * Ability to work independently in a fast-paced ...
Cash Reconciliation Specialist
$36K - $40K/yr
Performs Cash Management operations involving cash deposits and credit card receipts and other duties with accuracy and timeliness. * Daily tracking and reconciliation of cash and credit card ...
Quick apply
Cash Reconciliation Specialist
$36K - $40K/yr
Performs Cash Management operations involving cash deposits and credit card receipts and other duties with accuracy and timeliness. * Daily tracking and reconciliation of cash and credit card ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
Quick apply
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
Purpose/belief statement The Cash Reconciliation Specialist will perform continuous monthly audit ... Strong task management and organizational skills, understanding priorities * Displays a high degree ...
Purpose/belief statement The Cash Reconciliation Specialist will perform continuous monthly audit ... Strong task management and organizational skills, understanding priorities * Displays a high degree ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash and Reconciliation Specialist supports investor reporting, daily and month-end cash ... Escalate issues and discrepancies to senior management and coordinate meetings with appropriate ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
Cash Reconciliation Specialist
Omaha, NE · On-site
Manage daily automated transaction matching and reconciliation processes within BlackLine ... Perform daily cash reconciliations and monitor automated integration streams supporting premium ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
Reconciliation Manager
Mundelein, IL · On-site
$115K - $135K/yr
Reconciliation Manager $115000 - $135000 per year | Mundelein, IL | On-site | Permanent A bit about ... cash, and intercompany accounts. * Develop KPI dashboards and reporting metrics that provide ...
Reconciliation Manager
Mundelein, IL · On-site
$115K - $135K/yr
Reconciliation Manager $115000 - $135000 per year | Mundelein, IL | On-site | Permanent A bit about ... cash, and intercompany accounts. * Develop KPI dashboards and reporting metrics that provide ...
The Cash Reconciliation Accountant is responsible for managing month‑end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
The Cash Reconciliation Accountant is responsible for managing month‑end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications ...
Cash Reconciliation Manager information
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$9.62 - $13.92
3% of jobs
$17.88 is the 25th percentile. Wages below this are outliers.
$13.92 - $18.23
24% of jobs
$18.23 - $22.53
12% of jobs
The median wage is $24.14 / hr.
$22.53 - $26.84
30% of jobs
$30.37 is the 75th percentile. Wages above this are outliers.
$26.84 - $31.14
8% of jobs
$31.14 - $35.45
4% of jobs
$35.45 - $39.75
8% of jobs
$39.75 - $44.06
5% of jobs
$44.06 - $48.36
3% of jobs
$48.36 - $52.67
2% of jobs
$52.67 - $56.97
1% of jobs
$9
$28
$56
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Cash Reconciliation Specialist
Las Vegas, NV • On-site
Full-time
Medical, Dental, Vision, Retirement
Posted 18 days ago
LV Petroleum rating
4.1
Based on 17 frontline employees who took The Breakroom Quiz
Job description
LV Petroleum
Location: LV Petroleum Corporate Headquarters - Las Vegas, NV
Department: Loss Prevention
Employment Type: Full-Time
About the Role
LV Petroleum is seeking a detail-oriented and experienced Cash Reconciliation Specialist to support daily financial accuracy and cash controls across our travel center, fuel, retail, and restaurant operations.
This role sits within the Loss Prevention function, with a strong focus on identifying discrepancies, minimizing financial risk, and ensuring the integrity of all cash and transactional reporting.
The ideal candidate has hands-on reconciliation experience and can operate independently in a high-volume, multi-unit environment.
We are increasing our Loss Prevention Department to include: 2-Cash Reconciliation Specialists for Travel Center Operations, 1 Cash Reconciliation Specialist for QSR Restaurants & 1 Cash Reconciliation Specialist for Full Service Restaurants.
Key Responsibilities
- Perform daily cash reconciliation across fuel systems, POS platforms, cash drawers, and store-level reporting
- Reconcile cash payment transactions against internal POS systems and bank deposits
- Identify, investigate, and resolve discrepancies, shortages, and variances across all revenue streams
- Prepare and submit daily and weekly reconciliation reports to Loss Prevention leadership
- Partner with operations teams to address cash handling issues and improve compliance
- Support month-end close activities, including reconciliation validation and reporting
- Maintain organized, audit-ready records of all reconciliation activity
- Assist in strengthening internal controls and loss prevention processes related to cash handling
Requirements
Requirements
- 2+ years of experience in cash handling, cash reconciliation, or accounting support
- Proven ability to reconcile high-volume, multi-source transactions (fuel, retail, restaurant, POS)
- Strong working knowledge of Microsoft Excel (sorting, filtering, formulas, reconciliation tracking)
- Demonstrated ability to identify discrepancies and resolve issues independently
- High attention to detail with consistent accuracy under tight deadlines
- Strong organizational and time management skills
- Ability to work independently in a fast-paced, deadline-driven environment
- High integrity and ability to handle confidential financial information
Preferred Background
- Experience in travel centers, convenience retail, fuel operations, or restaurant environments
- Exposure to loss prevention, audit, or internal controls related to cash handling
Benefits
What We Offer
- Competitive salary, commensurate with experience, with huge potential for growth
- Comprehensive benefits package (health, dental, vision, 401(k), etc.)
- Stable, full-time opportunity in the growing petroleum and travel center industry
- Supportive team environment with opportunities for advancement
LV Petroleum is an Equal Opportunity Employer.
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