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Temp Cash Flow Jobs in Virginia (NOW HIRING)

Medical benefits available during the contracted temporary phase. Job Duties * Manages ... cash flow forecasts, and ad hoc reporting as needed * Reviews the work of direct reports for ...

Accounts Payable Manager

Glen Allen, VA · On-site

$90K - $100K/yr

Lead the weekly AP aging report review to optimize cash flow management, identify dispute ... Depending on your temporary assignment, benefits may include direct deposit, free career counseling ...

Accounts Payable Manager

Glen Allen, VA · On-site

$90K - $100K/yr

Lead the weekly AP aging report review to optimize cash flow management, identify dispute ... Depending on your temporary assignment, benefits may include direct deposit, free career counseling ...

Vice President of Finance

Richmond, VA · On-site

$90K - $120K/yr

Prepare multi-year financial forecasts and cash flow projections. * Monitor key financial ... Depending on your temporary assignment, benefits may include direct deposit, free career counseling ...

Vice President of Finance

Richmond, VA · On-site

$90K - $120K/yr

Prepare multi-year financial forecasts and cash flow projections. * Monitor key financial ... Depending on your temporary assignment, benefits may include direct deposit, free career counseling ...

Regular or Temporary: Regular Language Fluency: English (Required) Work Shift: 1st shift (United ... emphasis on cash flow and accrual accounting and reconciliation concepts. 3. Effective ...

Regular or Temporary: Regular Language Fluency: English (Required) Work Shift: 1st shift (United ... emphasis on cash flow and accrual accounting and reconciliation concepts. 3. Effective ...

Regular or Temporary: Regular Language Fluency: English (Required) Work Shift: 1st shift (United ... emphasis on cash flow and accrual accounting and reconciliation concepts. 4. Effective ...

Regular or Temporary: Regular Language Fluency: English (Required) Work Shift: 1st shift (United ... cash flow management/working capital approach with a focus on risk mitigation and grounded in ...

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Temp Cash Flow information

What is a temp cash flow?

Temp Cash Flow jobs refer to temporary positions that help companies manage and monitor their cash flow — the movement of money in and out of a business. Individuals in these roles may assist with tracking payments, forecasting income and expenses, managing invoices, and ensuring the company has enough liquidity for its short-term needs. These roles are often project-based or fill gaps during busy financial periods, and require strong analytical and organizational skills. Temp Cash Flow jobs are common in accounting, finance departments, or with firms specializing in financial management.

What are the key skills and qualifications needed to thrive as a temp cash flow?

To thrive as a Cash Flow Analyst, you need strong analytical skills, attention to detail, and a background in finance or accounting, often supported by a relevant degree. Familiarity with financial modeling software, spreadsheets (like Microsoft Excel), and sometimes ERP systems such as SAP or Oracle is typically required. Effective communication, problem-solving abilities, and organizational skills help analysts interpret financial data and present actionable insights. These skills ensure accurate cash flow forecasting and management, which are vital for an organization's financial stability and decision-making.

What are some common challenges faced by temp cash flow professionals, and how can they be addressed?

Temp Cash Flow professionals often encounter challenges such as managing unpredictable cash inflows and outflows, reconciling temporary discrepancies in accounts, and adapting quickly to changes in financial priorities. These challenges can be addressed by maintaining strong communication with cross-functional teams, staying organized with up-to-date records, and utilizing cash flow management tools to forecast and monitor movements. Proactively seeking clarification and collaborating with finance and operations teams can further help in resolving issues efficiently and ensuring accurate reporting.

What is the difference between Temp Cash Flow vs Temp Accountant?

AspectTemp Cash FlowTemp Accountant
Required CredentialsBasic financial knowledge, possibly some certificationsAccounting degree or certification (e.g., CPA)
Work EnvironmentTemporary financial roles, often in finance departmentsAccounting firms, corporate finance teams
Employer & Industry UsageUsed in finance and accounting sectors for short-term financial tasksCommon in accounting firms and corporate finance departments
Search & Comparison IntentUnderstanding financial roles, short-term finance jobsAccounting tasks, financial reporting, compliance

Temp Cash Flow roles focus on managing and analyzing cash flow activities temporarily, often requiring basic financial skills. Temp Accountants handle broader accounting functions, including financial statements and compliance, usually requiring accounting credentials. While both roles are temporary and finance-related, Temp Accountants have more specialized accounting responsibilities compared to Temp Cash Flow positions.

What are the most commonly searched types of Cash Flow jobs in Virginia?

The most popular types of Cash Flow jobs in Virginia are:

What job categories do people searching Temp Cash Flow jobs in Virginia look for?

The top searched job categories for Temp Cash Flow jobs in Virginia are:

What cities in Virginia are hiring for Temp Cash Flow jobs?

Cities in Virginia with the most Temp Cash Flow job openings:

Accounting Manager

Hoxton Circle

Norfolk, VA • On-site

Full-time

Posted 5 days ago


Job description

Hoxton Circle has partnered with a non profit in the metro area to add an interim/temporary Accounting Manager for a set term. There is an opportunity for converting to permanent based solely on candidate performance. Medical benefits available during the contracted temporary phase.

Job Duties

  • Manages reconciliations and monitors activity across revenue, receivables, work-in-progress, investments, intercompany accounts, and debt
  • Prepares timely, accurate internal and external financial reports, including monthly and quarterly financials, budget-to-actual analysis, cash flow forecasts, and ad hoc reporting as needed
  • Reviews the work of direct reports for accuracy and compliance with established standards
  • Supervises and develops a small team of accounting professionals, including planning and assigning work, training staff, and overseeing productivity
  • Provides input on hiring, pay adjustments, and corrective action for the accounting team, in partnership with leadership
  • Acts as backup for payroll processing when needed
  • Partners with external auditors on the annual financial audit and related preparation
  • Oversees preparation of organizational tax filings, including Form 990, charitable registrations, and subsidiary tax returns
  • Establishes and manages workflow priorities across the finance department's day-to-day operations

Requirements

  • Bachelor's degree in Accounting, Finance, or a related field, CPA or Master's preferred
  • Minimum 5 years of progressive nonprofit accounting or financial management experience, including at least 2 years in a leadership or supervisory role
  • Strong knowledge of GAAP and nonprofit financial reporting standards
  • Proven experience managing audits, grants, and multiple funding streams
  • Advanced Excel and experience with ERP or accounting software such as Sage or NetSuite

Hoxton Circle is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.