About this role
Cash Flow Analyst at Accounting. Location: Cleveland, Ohio, United States. Role: monitoring cash, forecasting cash, reconciling banks Requirements: Bachelor's degree in accounting or finance; 3-5 years financial analysis or accounting; Excel and Word proficiency; strong analytical skills; experience with banking/payments a plus. Category: Finance and Accounting Seniority: Mid Level Tools: SQL, Excel, PowerBI, Tableau, Word, Microsoft Office Commitment: Full Time Workplace: Hybrid Languages: English