Cash Accountant - Manufacturing

$70,000 - $85,000 per year

Direct Placement

Accounting & Finance

Tulsa, OK, 74117

Job ID: 

29213564

Cash Accountant – Manufacturing

Tulsa, OK | Full-Time | Monday–Friday, 7:00 a.m.–4:00 p.m. | On-Site


Pay & Benefits

Compensation:$70,000–$85,000, depending on experience
Health & Wellness: Medical, dental, and vision insurance
Retirement Planning: 401(k) with company match
Time Away: Paid time off, holidays, and personal days
Additional Support: Employee Assistance Program (EAP), Bonus Incentive Program
Coverage: Life and disability insurance
Work Environment: Established manufacturing company with a stable weekday schedule and a collaborative accounting team


About the Role

We’re looking for a detail-oriented Cash Accountant to take ownership of daily cash activity, bank reconciliations, electronic payments, and cash-related accounting processes for an established manufacturing organization.

This is a great opportunity for an accountant who enjoys working with numbers, banking activity, reconciliations, and financial accuracy and wants a role with visibility across the organization. You’ll work closely with Accounting, AP, AR, Purchasing, Sales, and banking partners while helping ensure the company’s cash position and financial records remain accurate and well controlled.

If you’re organized, analytical, comfortable working independently, and have experience with cash accounting, treasury functions, or general ledger accounting, this could be a strong fit.


Key Responsibilities

Cash Management & Banking:

  • Monitor daily cash balances across company bank accounts and maintain accurate cash position reporting

  • Process and monitor ACH payments, wire transfers, positive pay, and other electronic banking transactions

  • Maintain banking records, account documentation, and authorized signer information

Bank Reconciliations & Accounting:

  • Perform daily, weekly, and monthly bank reconciliations, researching and resolving discrepancies

  • Prepare cash-related journal entries and ensure transactions are accurately recorded in the general ledger

  • Support month-end and year-end close through reconciliations, schedules, and supporting documentation

Cash Forecasting & Financial Planning:

  • Prepare short-term cash forecasts and assist with longer-term cash flow planning

  • Monitor upcoming receipts and disbursements to help maintain appropriate cash availability

  • Review bank fees and identify opportunities to improve efficiency and reduce unnecessary costs

AP/AR Coordination:

  • Work with Accounts Receivable on cash application and resolution of unapplied cash

  • Coordinate with Accounts Payable regarding payment timing and cash requirements

  • Partner with internal departments to resolve cash-related questions and discrepancies

Controls, Compliance & Process Improvement:

  • Help maintain effective controls over cash receipts, payments, and banking activity

  • Assist with internal and external audit requests related to cash and treasury accounts

  • Identify opportunities to improve, standardize, or automate cash-management processes


Qualifications

Education:

  • Bachelor’s degree in Accounting, Finance, or a related field

Experience:

  • 3–5 years of accounting experience, preferably with exposure to cash accounting, treasury, or general ledger functions

  • Experience with bank reconciliations and cash management is strongly preferred

Technical Skills:

  • Strong understanding of accounting principles and financial controls

  • Proficiency with Microsoft Excel and Microsoft Office

  • Experience with an ERP system and online banking platforms is a plus

Work Style:

  • Highly organized and comfortable managing multiple priorities and deadlines

  • Able to work independently while collaborating effectively with other departments

  • Strong problem-solving skills with a high level of attention to detail

Core Strengths:

  • Accurate and analytical

  • Dependable and organized

  • Strong written and verbal communication skills

  • Comfortable handling confidential financial information


Work Environment

This position is primarily office-based within a manufacturing environment and involves regular interaction with accounting and operational teams. The role requires extended periods working at a computer, with occasional movement throughout the office and manufacturing facility. Employees entering the shop environment are required to wear appropriate PPE.


Nesco Resource offers a comprehensive benefits package for our associates, which includes a MEC (Minimum Essential Coverage) plan that encompasses Medical, Vision, Dental, 401K, and EAP (Employee Assistance Program) services.

Nesco Resource provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws. #LI-WL1

Share this job

SCHEMA MARKUP ( This text will only show on the editor. )

Requirements to Apply

This job is no longer available