1

Nj Fast Cash Jobs in Rochester, NY (NOW HIRING)

Nj Fast Cash information

See Rochester, NY salary details

$9

$27

$56

How much do nj fast cash jobs pay per hour?

As of Aug 15, 2026, the average hourly pay for nj fast cash in Rochester, NY is $27.73, according to ZipRecruiter salary data. Most workers in this role earn between $17.79 and $35.34 per hour, depending on experience, location, and employer.

What is the difference between Nj Fast Cash vs Nj Loan Officer?

AspectNj Fast CashNj Loan Officer
Required CredentialsBasic financial knowledge, no formal certificationLoan origination license, certifications often required
Work EnvironmentCash advance centers, payday loan shopsBanks, credit unions, mortgage companies
Employer & IndustryFinancial service providers focused on short-term cashFinancial institutions involved in loan processing

Nj Fast Cash typically involves providing short-term cash advances without formal licensing, while Nj Loan Officers handle loan applications within regulated financial institutions, requiring specific certifications. Both roles operate within the financial services industry but differ in credentials, work environment, and scope of services.

What are popular job titles related to Nj Fast Cash jobs in Rochester, NY?

For Nj Fast Cash jobs in Rochester, NY, the most frequently searched job titles are:

What job categories do people searching Nj Fast Cash jobs in Rochester, NY look for?

The top searched job categories for Nj Fast Cash jobs in Rochester, NY are:

What cities near Rochester, NY are hiring for Nj Fast Cash jobs?

Cities near Rochester, NY with the most Nj Fast Cash job openings:

Treasury Lead :: Victor, New York, 14564 (Hybrid position)

Talent Movers

Victor, NY • On-site

$63/hr

Contractor

Re-posted 7 days ago


Job description

Role :: Treasury Lead

Location :: Victor, New York, 14564 (Hybrid position)

Marketplace Pay Rate USD$63.00 / hr on W2 only

Summary

Looking for a detail-oriented Treasury Lead candidate with strong cash management skills, able to work in a fast-paced environment, and adaptable. 

Contract role until 4/30/2026 with possible extension

Worktype – hybrid (at least 3 days in Folsom, NJ) 

Responsibilities

Essential Functions

Cash Flow Forecasting & Analysis

·       Co-lead the development, enhancement, and maintenance of cash flow forecasts.

·       Analyze variances between forecasted and actual cash flows, identifying key drivers and recommending process or assumption adjustments.

·       Partner with internal SJI teams to gather inputs and validate forecast assumptions.

·       Prepare periodic forecast presentations and insights for senior leadership.

Banking & Vendor Coordination

·       Serve as a primary point of contact for daily banking operations, coordinating with banking partners to resolve payment issues, account discrepancies, or system outages.

·       Liaise with external vendors to troubleshoot treasury platform functionality, banking portals, and data feed integrations.

·       Support the onboarding of new banks, products, accounts, or treasury services as needed.

Cash Reporting & Review

·       Review cash management team–prepared reports, including daily liquidity summaries, bank fee analyses, and account activity reports to ensure accuracy and completeness.

·       Identify trends, anomalies, and improvement opportunities in reporting and operational workflows.

Daily Cash Positioning & Operations Support

·       Provide rotational coverage for daily cash positioning activities, including bank balance monitoring, cash sweeps, borrowing decisions, and investment placements.

·       Execute daily funding transactions, wire transfers, ACH approvals, and internal cash movements in accordance with Treasury controls and approval matrices.

·       Prepare the daily cash position and liquidity reporting package when providing coverage.

Others

·       Support ongoing and ad‑hoc cash management initiatives such as account rationalization, automation projects, banking system upgrades, or policy enhancements.

·       Maintain and ensure compliance with internal treasury controls, documentation standards, and audit requirements.

·       Assist with month-end and quarter-end Treasury activities as needed.

·       Maintain and update the Treasury dashboard

Qualifications

·       Bachelor’s degree in finance or accounting or equivalent work experience.

·       At least five years of professional work experience in the following areas: corporate cash management and treasury services.

·       Must have a strong understanding of key Treasury concepts, cash flow and liquidity forecasting.

·       Ability to multi-task and handle tight deadlines with high accuracy.

·       Ability to work in a fast-paced environment with extended hours as necessary to manage through periodic reporting workflows and ad hoc stakeholder requests.

Skills

  • Cash Management
  • Banking & Vendor Coordination
  • Cash Flow Forecasting & Analysis
  • Treasury Service