A company is looking for a Cash Analyst to support cash reporting and planning processes within the Accounting and FP&A Departments.Key ResponsibilitiesEnsure accuracy in cash forecasting, including collections and disbursementsCollaborate with various departments to understand cash movement and changesPerform monthly variance analysis for cash and support financial reporting cyclesRequired QualificationsU.S. citizenship or permanent residencyBS in Finance, Accounting, Economics, or related disciplineMinimum of 5 years of overall experience, with at least 3 years in a Financial Analyst roleExperience with Excel and other MS Office applications