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Treasury Accountant

ENA Corporate
TX - United States
  • Full-time
  • treasury accountant
  • cash management
  • bank reconciliation

Our job summary

Treasury Accountant responsible for daily cash management, bank reconciliations, posting cash and intercompany journal entries, and supporting cash forecasting and bank account administration. Works with finance teams to resolve discrepancies, process wires/ACH, support audits, maintain internal controls, and improve treasury processes using ERP/TMS and Excel. Onsite in Houston (hybrid Fridays), requiring a bachelor's or equivalent and 2+ years in accounting/treasury within shared services or multi-entity environments.


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