Cash Accountant
Houston, TX · On-site
The position supports financial reporting, audit preparation, regulatory compliance, and internal ... Prior experience working in a research academic setting or comparable environment. Baylor College ...
New
Houston, TX · On-site
The position supports financial reporting, audit preparation, regulatory compliance, and internal ... Prior experience working in a research academic setting or comparable environment. Baylor College ...
New
Houston, TX · On-site
The position supports financial reporting, audit preparation, regulatory compliance, and internal ... Prior experience working in a research academic setting or comparable environment. Baylor College ...
New
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
San Antonio, TX · On-site
$18.50 - $24.25/hr
Cross-Functional Order-to-Cash Support*** Work closely with Billing, Project Set Up, Cash ... Strong working knowledge of A/R aging, collections, customer account reconciliation, dispute ...
San Antonio, TX · On-site
$18.50 - $24.25/hr
Cross-Functional Order-to-Cash Support*** Work closely with Billing, Project Set Up, Cash ... Strong working knowledge of A/R aging, collections, customer account reconciliation, dispute ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Erie, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Erie, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Ontario, CA · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
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Ontario, CA · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
Albany, NY · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
New
Albany, NY · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
New
Plymouth Meeting, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Plymouth Meeting, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Houston, TX · On-site
$63K - $74K/yr
The position supports financial reporting, audit preparation, regulatory compliance, and internal ... Prior experience working in a research academic setting or comparable environment. Baylor College ...
New
Houston, TX · On-site
$63K - $74K/yr
The position supports financial reporting, audit preparation, regulatory compliance, and internal ... Prior experience working in a research academic setting or comparable environment. Baylor College ...
New
Cincinnati, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Cincinnati, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Provide knowledgeable support to Financial Center colleagues on core banking systems, transaction processing and operational discrepancies, including scanning, cash and bond differences. * Coach ...
Columbus, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Columbus, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Pittsburgh, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Pittsburgh, PA · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Brooklyn, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Brooklyn, OH · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Albany, NY · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
Albany, NY · On-site
$52K - $80K/yr
... supporting the onboarding and servicing of Business Banking clients, reporting to Commercial ... Maintain working knowledge of pre-onboarding compliance requirements for multiple cash management ...
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
Ontario, CA · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
Ontario, CA · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
California, MO · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
California, MO · On-site
$120K/yr
Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions. Liquidity & Debt Management * Support daily cash positioning, target-balance ...
Fort Worth, TX · On-site
$18.25 - $23.50/hr
... cash. * Support month-end close activities, reporting requirements, audits, and compliance ... Current Alcon Employee/Contingent Worker If you are currently an active employee/contingent worker ...
Fort Worth, TX · On-site
$18.25 - $23.50/hr
... cash. * Support month-end close activities, reporting requirements, audits, and compliance ... Current Alcon Employee/Contingent Worker If you are currently an active employee/contingent worker ...
$8.65 - $10.12
7% of jobs
$10.12 - $11.58
3% of jobs
$11.58 - $13.05
3% of jobs
$13.05 - $14.51
6% of jobs
$14.92 is the 25th percentile. Wages below this are outliers.
$14.51 - $15.97
18% of jobs
The median wage is $16.74 / hr.
$15.97 - $17.44
23% of jobs
$17.44 - $18.90
14% of jobs
$18.95 is the 75th percentile. Wages above this are outliers.
$18.90 - $20.37
8% of jobs
$20.37 - $21.83
13% of jobs
$21.83 - $23.30
2% of jobs
$23.30 - $24.76
2% of jobs
$8
$17
$24
For Cash Support Worker jobs, the most frequently searched job titles are:
Houston, TX • On-site
Full-time
Posted 3 days ago
New
8.0
Based on 24 frontline employees who took The Breakroom Quiz
This position manages the accurate recording, reconciliation, and monitoring of cash receipts and disbursements for non-research activities across the institution. The role ensures that payments, wire transfers, checks, and ACH transactions are applied promptly and accurately while investigating discrepancies and reconciling activity to the general ledger and related accounts. The position supports financial reporting, audit preparation, regulatory compliance, and internal controls in accordance with GAAP and institutional policies. It also collaborates with finance teams, faculty administrators, and other stakeholders to resolve cash-related inquiries and improve cash management.
Baylor College of Medicine is an Equal Opportunity/Affirmative Action/Equal Access Employer.
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Colleges, universities, and professional schools
5,001 - 10,000 Employees
Houston, TX, US
1900