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Entry Level Cash Flow Jobs (NOW HIRING)

This is an Entry-Level position But candidates with 1-2 years of experience will be considered ... reports • Managing cash flow and daily financial issues • Monitoring performance and ...

This is an Entry-Level position But candidates with 1-2 years of experience will be considered ... reports • Managing cash flow and daily financial issues • Monitoring performance and ...

Staff Accountant (Entry Level) Location: North Tampa area Salary: $55,000 Why This Opportunity ... cash flow reporting * Prepare audit schedules and support external audit requests * Monitor and ...

Staff Accountant (Entry Level) Location: North Tampa area Salary: $55,000 Why This Opportunity ... cash flow reporting * Prepare audit schedules and support external audit requests * Monitor and ...

Staff Accountant (Entry Level) Location: North Tampa area Salary: $55,000 Why This Opportunity ... cash flow reporting * Prepare audit schedules and support external audit requests * Monitor and ...

Staff Accountant (Entry Level) Location: North Tampa area Salary: $55,000 Why This Staff Accountant ... and cash flow analysis * Prepare audit schedules and coordinate with external auditors during ...

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Entry Level Cash Flow information

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How much do entry level cash flow jobs pay per hour?

As of Jun 16, 2026, the average hourly pay for entry level cash flow in the United States is $21.55, according to ZipRecruiter salary data. Most workers in this role earn between $17.55 and $22.84 per hour, depending on experience, location, and employer.
What are the most commonly searched types of Cash Flow jobs? The most popular types of Cash Flow jobs are:

Bilingual Korean / English Finance & Investor Relations - Entry Level

HYUNDAI-POSCO Louisiana Steel LLC

Baton Rouge, LA • On-site

Full-time

Posted 25 days ago

Be an early applicant


Job description

Must be fluent in Korean and English

This role is suited for entry-level candidates and professionals with up to 3 years of experience.


The Finance & Investor Relations function is responsible for managing capital planning, treasury operations, and financial risk management, while also leading communication with investors and key stakeholders. This role supports financial decision-making, funding strategies, and long-term planning, while ensuring transparent and effective communication of business performance to investors, board members, and external stakeholders. The position plays a critical role in supporting capital-intensive operations in a manufacturing environment.

Roles and Responsibilities

· Finance / Treasury

· Manage capital budgeting, cash flow analysis, financing structures, and treasury activities

· Evaluate funding needs and develop strategies for borrowing and capital raising

· Oversee daily cash flow and ensure sufficient liquidity for operational needs

· Implement cash management strategies to optimize cash utilization

· Support management decision-making by analyzing financial data and business transactions

· Coordinate with banks and financial institutions regarding financing and treasury matters

· Review and ensure proper documentation (e.g., lien waivers and financial documents) in compliance with internal procedures

· Monitor financial risks including interest rate, currency, and commodity exposures

· Develop short-term and long-term cash flow forecasts

· Lead the development, implementation, and operation of ERP and treasury systems for a newly established plant, ensuring efficient cash management and financial processes

· Investor Relations (IR) / Governance

· Prepare financial reports, investor presentations, and communication materials

· Support preparation of disclosures, press releases, and business performance updates

· Organize and participate in investor meetings, conference calls, and stakeholder engagements

· Monitor market trends, competitor performance, and industry developments

· Prepare board materials, meeting agendas, and pre-read documents for Board of Directors and shareholder meetings

· Draft meeting minutes, track resolutions, and follow up on action items

· Ensure consistency of investor communications aligned with approved messaging

· Support compliance with corporate governance requirements, including bylaws and shareholder agreements

Minimum Education

· Bachelor’s degree or equivalent

· Major in Finance, Accounting, Business, or related field

Minimum Skills and Experience

· Proficiency in Microsoft Office Suite (Excel, Word, PowerPoint)

· Strong analytical and problem-solving skills

· Ability to analyze and forecast cash flow

· Knowledge of accounting and finance principles

· Understanding of banking products and financial instruments

· Proficiency in SAP or other ERP systems

· Strong written and verbal communication skills

· Ability to prepare executive-level reports and presentations

· Strong organizational skills and attention to detail

· Ability to communicate effectively with senior management and external stakeholders

· Working knowledge of corporate governance structures and company law fundamentals

Preferred Education

· CPA, CMA, or progress toward certification

Preferred Skills and Experience

· 'Experience in industrial/manufacturing finance or CAPEX-intensive environments

· Experience in the steel or heavy manufacturing industry

· Manufacturing or cost accounting experience

· Knowledge of hedging strategies, commodity pricing, and currency/interest rate risk

· Experience supporting investor relations, board reporting, or external communications

· Ability to maintain a high level of confidentiality

· Fluent in Korean and English