Role Description
We are seeking a detail-oriented and highly organized
Staff Cash Accountant
to support our high-volume cash operations. This role is critical in ensuring the accuracy, completeness, and timeliness of cash application, reconciliations, and reporting across multiple revenue streams and systems. You will work cross-functionally with the Treasury, A/R and A/P teams to streamline processes, improve automation, and maintain strong internal controls in a fast-paced, transaction-heavy environment.
Key Responsibilities
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Daily Cash Management & Reconciliation
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Perform daily cash postings across multiple bank accounts and entities.
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Monitor cash balances and identify discrepancies, unusual transactions, or timing issues.
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Support Treasury with daily cash position reporting and liquidity insights.
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Perform high-volume daily and monthly bank reconciliations across 40+ accounts.
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Investigate and resolve discrepancies and variances within the bank accounts including outstanding items and bank adjustments.
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Month-End Close
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Own cash-related journal entries, including bank fees, interest, credit card activity, and cash adjustments.
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Assist with variance analysis and provide explanations for cash movement and timing differences.
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Ensure all cash transactions are recorded in accordance with GAAP and internal policies.
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High-Volume Transaction Management
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Manage large datasets of transactions across multiple systems (ERP, billing platforms, payment processors).
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Ensure completeness and integrity of cash postings in a high-throughput environment.
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Monitor and maintain cash clearing accounts.
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Process Improvement & Automation
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Identify opportunities to improve efficiency, scalability, and accuracy of cash processes.
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Support implementation of tools and workflows to handle increasing transaction volumes.
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Internal Controls & Compliance
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Maintain proper documentation and audit trails for all cash activities.
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Assist with internal and external audits.
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Cross-Functional Collaboration
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Partner with Treasury, A/R and A/P to resolve receipt and disbursement discrepancies.
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Work closely with Revenue Accounting on proper allocation and classification.
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Communicate effectively with internal stakeholders and external partners (banks, payment providers).
Qualifications
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Bachelorโs degree in Accounting, Finance, or related field.
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3โ5+ years of accounting experience, preferably in cash accounting or AR in high-volume and multi-entity environment.
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Experience working with large transaction datasets and multiple payment channels.
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Proficiency with ERP systems, preferably NetSuite.
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Experience with payment processors for cash receipts and A/P systems, preferably Coupa.
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Strong attention to detail and ability to manage competing priorities.
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Experience with automation tools or system integrations is a plus.
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Critical thinking and the ability to think outside the box.
Benefits
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The estimated total cash compensation range for this role is: $72,000 - $85,000 USD.
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At Datavant, our total rewards strategy powers a high-growth, high-performance health technology company that rewards our employees for transforming health care through creating industry-defining data logistics products and services.
Company Description
Datavant is the data collaboration platform trusted for healthcare. Guided by our mission to make the worldโs health data secure, accessible and actionable, we provide critical data solutions for organizations across the healthcare ecosystem - including providers, health plans, researchers, and life sciences companies. From fulfilling a single patientโs request for their medical records to powering the AI revolution in healthcare, Datavanters are building the future of how data is connected and used to improve health.