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Finance Department Bookkeeper

Cartiga LLC

Treasury Bookkeeper
The Treasury Bookkeeper will support the Company's treasury and accounting functions by recording daily cash activity, processing payments and receipts, preparing bank reconciliations, and maintaining organized records of debt and lender activity. This position will play a key role in ensuring the accurate movement, recording, and reporting of cash across multiple bank accounts and financing facilities.
The individual will work closely with the Treasurer and broader finance team to support daily treasury operations and keep financial records accurate and up to date. Treasury Operations & Cash Management
Monitor daily cash balances across multiple operating and financing accounts.
Process and monitor daily cash receipts and disbursements.
Coordinate wire transfers, ACH transactions, and internal cash movements.
Prepare daily cash position reports for executive management.
Assist with gathering data for short-term cash forecasting.
Maintain banking portals and payment templates.
Assist with opening, maintaining, and closing bank accounts.
Support banking relationship administration and documentation.
Monitor positive pay, ACH filters, and other banking controls.
Investigate and resolve banking exceptions and rejected transactions.
Bank Reconciliations
Prepare timely and accurate bank reconciliations for all corporate accounts.
Work with accounting personnel to clear outstanding reconciling differences.
Maintain supporting documentation for all reconciliations.
Cash Recordkeeping
Record daily cash activity within the general ledger.
Record routine journal entries related to treasury activity, with guidance from the accounting team.
Reconcile cash accounts and supporting schedules.
Assist with routine month-end close tasks related to cash and debt.
Support preparation of monthly balance sheet reconciliations.
2+ years of bookkeeping, banking, or treasury operations experience.

  • Working knowledge of basic bookkeeping principles, including debits and credits.
  • Working knowledge of MS Excel.
  • Experience preparing bank reconciliations.
  • Experience with banking portals
  • Strong customer service mindset.

Paid time off and company holidays.

Cartiga is a leading specialty finance company focused on providing capital solutions to plaintiffs and law firms throughout the litigation process. Through its consumer and commercial financing platforms, Cartiga delivers non-recourse funding and working capital solutions that help clients navigate the legal claims lifecycle.
Founded on a commitment to innovation, transparency, and disciplined underwriting, Cartiga has deployed hundreds of millions of dollars in capital and established long-standing relationships with law firms and legal professionals nationwide. The Company leverages proprietary data, advanced analytics, and extensive industry expertise to evaluate opportunities and manage risk across its portfolio.
The finance organization plays a critical role in this growth by maintaining strong financial controls, delivering timely and accurate reporting, supporting strategic initiatives, and helping position the Company for future capital markets opportunities.

Vacancy posted 3 days ago
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