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Senior Accountant-Treasury and Cash Management
- US LawShield (Houston, TX)
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At U.S. LawShield our focus is on encouraging people to take proactive measures to improve their safety and self-defense abilities—and to serve those who do. We strive to create better-protected communities of responsible self-defenders who have the peace of mind to live their lives confidently. Our company was established in 2009. After initially launching in Texas as Texas LawShield®, the demand for services developed well beyond state lines. Our coverage began to expand across the United States, which is when we became U.S. LawShield.
Today, we provide coverage in 46 states and have proudly served more than 2 million people in their self-defense journey. Ready to join our driven and talented individuals who care about protecting the rights of responsible self-defenders?
Position Summary:
We are seeking a highly skilled and detail-oriented Senior Accountant with specialized expertise in treasury and cash management to join our finance team. This role will play a critical part in managing the company’s daily cash flow, optimizing liquidity, supporting banking relationships, and ensuring accurate and timely financial reporting related to treasury operations. The ideal candidate has a strong accounting foundation, robust analytical skills, and proven experience in treasury functions within a corporate environment.
Key Responsibilities:
+ Oversee daily cash management operations including cash positioning, forecasting, and bank reconciliations.
+ Monitor and manage company cash flows to ensure adequate liquidity and working capital across entities.
+ Prepare and analyze short-term and long-term cash flow forecasts.
+ Maintain banking relationships, manage account structures, and support onboarding of new bank accounts and services.
+ Monitor wire transfers, ACH payments, and other cash disbursements.
+ Reconcile bank statements and resolve any discrepancies in a timely manner.
+ Collaborate with FP&A Manager and accounting teams to support month-end close activities related to treasury, including journal entries and account reconciliations.
+ Ensure compliance with internal controls, company policies, and regulatory requirements related to cash and treasury operations.
+ Assist with audit requests, treasury documentation, and external reporting as needed.
Qualifications:
+ Bachelor’s degree in Accounting, Finance, or related field.
+ 3+ years of progressive accounting experience with focus on treasury or cash management.
+ Strong understanding of treasury functions, banking platforms, and cash forecasting models.
+ Proficiency with ERP systems (e.g., Business Central) and Excel; experience with treasury management systems a plus.
+ Detail-oriented with excellent analytical, organizational, and problem-solving skills.
+ Strong interpersonal and communication skills with the ability to work cross-functionally.
+ Ability to thrive in a fast-paced and dynamic environment.
Preferred Qualifications:
+ Experience in a multi-entity or interstate company environment.
+ Knowledge of internal controls and Sarbanes-Oxley (SOX) compliance in treasury processes.
Benefits
+ Medical, dental, vision, and additional supplemental coverage options
+ PTO begins at 15 days per year and accrues with additional tenure
+ 10 Paid Holidays
+ 401(k) retirement plan
+ Complimentary U.S. LawShield membership
+ Employee Assistance Program (EAP) with travel protection, counseling, and medical bill saver program
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