Jacksonville, FL Job Details 1 day ago Qualifications Spreadsheets High school diploma or GED Computer skills Full Job Description Job Summary The Cash Specialist is responsible for managing the organization's daily cash application, banking transactions, account reconciliations and short-term cash administration activities. This position ensures timely and accurate application of customer payments, maintains cash-related records, supports treasury operations and provides reliable information regarding daily cash activity and liquidity. The role serves as a key liaison between Accounts Receivable, Accounts Payable, Treasury and external banking partners. Essential Functions, Duties, and responsibilities Cash Management Monitors daily bank activity and records cash transactions accurately and timely Prepares and distributes daily cash position reports Performs daily cash forecasting support by identifying expected receipts and disbursements Initiates approved bank transfers and wire transactions Maintains positive pay files and other bank fraud prevention activities Assists with administration of corporate banking platforms and user access Cash Application Applies customer payments accurately to open invoices Investigates and resolves unapplied cash, payment discrepancies and short pays Coordinates with Customer Care and Accounts Receivable to resolve remittance issues Processes lockbox, ACH, wire, credit card and check payments Maintains detailed documentation supporting payment application Bank Reconciliations Performs daily and monthly bank reconciliations Investigates outstanding reconciling items Resolves banking discrepancies in a timely manner Supports month-end close activities related to cash accounts Treasury Support Assists with daily liquidity monitoring Maintains banking documentation and authorized signer records Supports cash forecasting and working capital reporting Assists with implementation of banking products and process improvements Provides support during banking relationship reviews and audits Controls & Compliance Maintains compliance with internal controls governing cash handling and banking transactions Protects confidential financial information Identifies opportunities to strengthen cash controls and improve efficiency Supports internal and external audit requests Process Improvement & Technology Identifies root causes when the same exceptions occur, and recommends a fix for the future Actively explores — and suggests improvements to — automation/workflow tools relevant to the role rather than defaulting to manual workarounds Flags manual, redundant, or error-prone steps in existing procedures Escalates recurring trends and process gaps to leader Education and Experience Requirements High school diploma required; Associate's or Bachelor's degree in Accounting, Finance, or related field preferred 1-3 years of experience in cash application, accounts receivable, or general accounting Basic proficiency in Excel (lookups, basic formulas) and comfort learning ERP/banking systems Experience with ACH, wire, lockbox, or check payment processing preferred Knowledge, Skills, and Abilities Strong attention to detail and accuracy when handling payment data Good organizational skills and ability to manage daily deadlines Ability to maintain confidentiality with financial information Comfortable communicating with internal teams and external banking partners