Cash Supervisor Job Description
Cash Supervisor Duties & Responsibilities
To write an effective cash supervisor job description, begin by listing detailed duties, responsibilities and expectations. We have included cash supervisor job description templates that you can modify and use.
Sample responsibilities for this position include:
Cash Supervisor Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Cash Supervisor
List any licenses or certifications required by the position: GOLD, MBA, IFRS, CPA, AS400
Education for Cash Supervisor
Typically a job would require a certain level of education.
Employers hiring for the cash supervisor job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and Associate Degree in Accounting, Finance, Business, Education, Business/Administration, General Education, Associates, Management, MBA, Business/Management
Skills for Cash Supervisor
Desired skills for cash supervisor include:
Desired experience for cash supervisor includes:
Cash Supervisor Examples
Cash Supervisor Job Description
- Prepare reporting for client meetings
- Prepare reporting for audits
- Write and test procedures
- Deputise in absence of the Trustee Manager / Assistant Manager
- Continually evaluate functional processes and procedures for team
- Manage all bank relationships and serve as administrator for all online bank software platforms
- Interface with the Credit and Collections function branch operations and others within the Division to troubleshoot and resolve customer payment discrepancies
- Responsible for period closings
- Research loan level inquiries received and obtain and provide supporting information internal mortgage servicing functions, clients
- Provide direct supervision of the assigned team(s) through ongoing leadership and guidance
- Prior Trustee / FA / TA desirable
- Generally none however travel may be required for business continuity events
- Must be 18 years and older
- Three years of mortgage experience
- Great customer service and organizational skills
- Working with Retail/Wholesale accounts a plus
Cash Supervisor Job Description
- Oversee all credit card duties including daily settlements, auto payments, error reports, chargebacks, and educate branches on best practices to prevent fraudulent activity
- Collaborate with Finance and Pharmacy Managers to ensure efficient, timely and accurate payment of Accounts Receivable
- Identifies possible trends or issues and provides possible solutions
- In coordination with the unit Manager, monitors and conducts performance reviews and provides feedback to team members
- Coordinating day to day operations of cash management routines to ensure all due transactions are settled in a timely manner and in full compliance of company policies and regulatory standards
- Ensuring full compliance of Central Bank regulations regarding the company’s foreign trades by means of closely following up on transactions, filing information on time, anticipating issues, preventing contingencies, and handling all concerns in a smooth yet strict manner, given the consequences of potential breaches
- Keeping up to date with technical matters impacting cash management processes, foreign exchange and Central Bank regulations, legislation, insurance, internal controls and all treasury related subjects
- Challenges operating policies and procedures to achieve operational and cost efficiencies in our treasury operation if necessary
- Supervises cash application teams related to the daily processing of cash receipts and postings to customer accounts, including payments made by credit card, lockbox, ACH/Wire and branch deposits other adjustments to customer accounts for credits/debits and account write-offs
- Oversees Cash Applications Specialists related to apply requests and research requests received by the collections team in order to resolve customer account discrepancies and/or questions
- Company offers excellent benefits, work/life balance and opportunity for growth
- Must be at least 18 years and older
- Inter CA, Master’s Degree in Business Administration, Commerce or related field, or equivalent combination of education and experience
- Experience in Financial Planning and analysis role
- General knowledge of financial markets and security types
- Ability to identify opportunities to improve and/or enhance processes within the team
Cash Supervisor Job Description
- Oversees deposit reconciliations to the general ledger, lockbox and branch records and other month-end procedures
- Monitors/measures receivable performance, including monthly metrics and provide support/reporting to the Manager, Cash Applications and Controller
- Develops, implements, and monitors standard operating procedures (SOPs) to ensure cost effective work flow in research and resolution of unapplied cash, investigate methods of improving the capabilities of the organization through changes in structure, technology or method
- Works in partnership with other Division teams on cross Divisional customers and best practices
- Communicate and demonstrate vision of patient financial advocacy to staff
- Practice LEAN in daily work
- Ensuring timely and accurate recording of the company’s accounts receivable, cash and sales
- Supervising two staff members ensuring timely and accurate account reconciliations
- Overseeing timely billing and collection of franchise royalties and miscellaneous charges
- Supervising the daily reconciliation of the restaurant’s cash and check deposits, change orders and the calculation of cash overages/shortages (Reconnet)
- Ability to see the big picture and pay attention to details
- Knowledge of complex financial systems
- Ability to work at all levels and across departments within the organization
- Experience in the Accounts Receivable and Cash Application preferred
- Prefer high degree of proficiency with Excel
- Experience with Oracle Financials highly desirable
Cash Supervisor Job Description
- Calculating the monthly Coke and Dr
- Benchmarking other companies/industries for ways to improve processes
- The Supervisor, Cash and Accounts Receivable typically has a Cash Analyst and an Accounts Receivable Analyst reporting to this position
- Manage standard order desk operational team within the Customer Service OTC department, which executes quotations and sales order entry received via fax or email
- Distributes the team’s workload
- Provide direction and leadership to employees on how to execute order entry tasks related to their job
- Audits and monitors the activities of their team
- Monitors progress of the inbound order flow KPIs related to the standard order desk to consistently meet or exceed agreed upon service levels
- Established new operating metrics as required
- If necessary, takes corrective actions on the daily operational issues (in consultation with OTC RPO)
- Minimum 6 years work experience in credit/collections with responsibility for direct customer contact
- Must have excellent oral and written communications skills, good visual presentation skills
- Minimum of one year experience in a lead or supervisory role preferred
- 5+ years of cash applications / management experience with 3+ years at a Supervisory level
- Working knowledge of Current Procedural Terminology (CPT) and/or The International Classification of Diseases, Ninth Revision, Clinical Modification (ICD-9-CM) coding preferred
- Must be able to handle confidential information with a high level of professionalism and discretion
Cash Supervisor Job Description
- Ensures compliance with all control objectives and corporate policies for the assigned area related to general accounting systems and activities
- Plans and schedules personnel to cover service hours of operation, taking into account time-off requests, leave, illness, and holidays
- Ensures safety, neat and tidy workplaces, and compliance with company-regulations
- Identify opportunities to enhance and improve operations within their supervisory organization
- Allocates 20-50% of their time executing tasks expected of their direct reports
- Lead the OTC Accounts Receivable operations team to deliver results at performance levels agreed upon in service level agreements
- Provide training and work direction to Accounts Receivable team members
- Assist with both the internal and external audits of the accounts receivable operations
- Evaluate and establish credit scoring for customers
- Monitors progress of the KPIs related to outbound invoices and inbound payment to consistently meet or exceed agreed upon service levels
- Recognition of prior learning and experience will be acknowledged
- Minimum 5 years of professional experience in a Finance function, Accounts Receivable experience an asset
- Post-secondary degree/diploma in accounting and CPA designation required
- Fluency in English and preferably in German
- 3-5 years of relevant experience in Treasury, including people management
- Shared Service Center experience is an asset