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About TSR:

TSR is a relationship-based, customer-focused IT and technical services staffing company.

For over 40 years TSR, Inc. and its wholly owned subsidiary, TSR Consulting Services, have prospered in the Information Technology staffing business, earning the respect of companies both large and small with well refined candidate screening, timely placement, and a real understanding of the right skill sets required by our clients.

Mission & Vision

We do not believe in building a vision around the company but building a company around our vision, which is simply;

Every employee’s voice matters, their effort is appreciated, and their talent is rewarded.

We challenge each employee daily, to raise the bar on how we treat our consultants and candidates. For far too long in this industry, candidates have been ghosted, lied to, or placed at a client and then forgotten about. Each day our staff works tirelessly at qualifying and placing, top talent with our clients, in a compassionate and caring manner.

Not every candidate is a match for the job, but every candidate and consultant will be treated with respect and professionalism.

Cash Management Analyst

Job Description

  • Location: Readington Township, New Jersey
  • Type: Contract
  • Job #81756

Our client, a leading insurance company, is hiring a Cash Management Analyst on a contract basis

Job ID #:  81756

Work Location:  Readington Township, NJ/IN OFFICE 100%

Summary:

Job hours: 8:00am 4:30pm EST
Job schedule-5 days in office

Job Title: Cash Management Analyst

Summary:

We are seeking a detail-oriented and motivated Cash Management Analyst to support the cash application process.

In this role, you will be responsible for the identification and matching of received payments to the corresponding receivables, managing cash transfers, disbursements, and mark-offs. This position requires a strong emphasis on quality and timeliness, along with the ability to navigate various receivable systems and policy administration processes.

Job Responsibilities:

  • Accurately identify and match incoming payments to corresponding receivables.
  • Manage cash transfers, disbursements, and mark-off processes.
  • Ensure high-quality work by focusing on details and adhering to timelines.
  • Collaborate with peers, management, and both internal and external partners to facilitate effective communication and support.
  • Utilize multiple receivable systems and policy administration tools to execute cash management operations efficiently.
  • Work closely with offshore partners to facilitate seamless operations.
  • Run and create daily reports to monitor and ensure cash application is completed.

Skills:

  • Analytical skills with meticulous attention to detail.
  • Ability to communicate effectively with diverse teams and stakeholders.

Experience/Education

  • Office work experience and or associates degree preferred.
  • Previous experience in cash management or a similar analytical role is a plus.

Pay Range:  $20-21
 

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