The Cash Reconciliation Accountant is responsible for managing month-end cash accounting and reconciliation activities across Cadency and Workday, including journal entries, account certifications, cash clearing reconciliations, and Revenue-to-Cash reconciliations. This person will prepare accruals, validate balances, and ensure cash sub-ledgers and General Ledger accounts are fully aligned across five retail fascias.
Read the full advert and apply on Jdgroupnam's site →
Collected from Jdgroupnam's own careers site (Workday). Posted 21 Aug 2026. TUNAI shows an excerpt and the facts it read from the advert; the employer's page has the full description and the application.