Job Information
Stride, Inc. Cash Applications and Collections Administrator in Columbus, Ohio
Job Description
Summary: The Cash Applications and Collections Administrator is responsible for processing daily Cash Receipts for Stride's corporate Business Units, reporting, reconciliations, and journal entries. The Admin will support MPS Billing with administrative tasks to assist with timely and accurate monthly close.
Essential Functions:
Retrieve daily bank deposit reports and supporting remittance documentation for multiple bank accounts, credit card providers, and payment portals and identify applicable line of business
Prepare daily journal entries for cash posting
Resolve unidentified payments within 30 days of receipt
Accurately apply payments to customer accounts from customer remittance details, and monitor unapplied cash balances
Generate and distribute reports of cash application activity to key business partners
Assist in the reconciliation of Remitted Receipts (unidentified payments)
Manage an on-going ACH campaign to reduce the number check payments
Assist in the month end close processes
Manage team email box inquiries, acting as a Tier 1 resolution agent where applicable, and assign open issues to appropriate team members
Assist Billing with manual processes that do not require invoice generation in sub-ledgers
Assist with collection efforts
Analyze trends and suggest process improvements and innovative solutions
Contact customers and schedule resolution sessions to understand the order-to-pay cycles of our customers
Resolve invoice discrepancies to ensure timely and accurate receivables
Demonstrate effective decision-making skills, applying critical thinking to understand impact
Possess a sense of urgency and proactive approach with the ability to meet deadlines and analyze a high volume of A/R activity
Adhere to department policies, procedures, and SOX controls
May assist with the preparation of month end close schedules, accruals, journal entries, G/L account reconciliations, accounting activity reconciliations, and audit support
Maintain accurate and updated procedures and support process improvement
Apply core competencies including Effective Communication, Accountability, Prioritization, Ownership, Technical Acumen, Operational Excellence, and Proactiveness
Minimum Required Qualifications:
3-4 years of Cash Receipts or Accounting experience
Advanced Excel skills
NetSuite
OTHER REQUIRED QUALIFICATIONS:
Computer literate in Microsoft Office, Windows 10
Aptitude to multi-task effectively and prioritize work in a fast-paced work environment with daily/monthly deadlines
Prior exposure to SOX controls and the ability to quickly and appropriately respond to external Auditor inquiries a strong advantage
Highly ethical professional with strong business acumen
Ability to be exacting, thorough and with a high level of attention to detail, while still meeting deadlines
Analyze and resolve problems, offer sound solutions where needed
Strong teamwork
Excel