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HomeCompaniesCareers Ucbi Icims ComTreasury Accountant

Treasury Accountant

Careers Ucbi Icims Com · Mount Laurel, NJ, US · Remote · Active · iCIMS

Job facts

FieldValue
CompanyCareers Ucbi Icims Com
TitleTreasury Accountant
Normalized title-
Department / teamNavitas
LocationMount Laurel, NJ, United States
Work modelRemote / Remote
Employment typeFull Time
Salary-
Statusactive
ATS provideriCIMS
Posted / first seen2026-05-15 / 2026-05-31
Changed / last seen2026-06-01 / 2026-06-06

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Linked records

CompanyCareers Ucbi Icims Com
Source67d44b2a-d662-4608-8044-39fa27a8ca08
ATS provideriCIMS

Description

Overview Navitas Credit Corp, a subsidiary of United Community Bank, is a rapidly growing financial services firm that is a leader in the equipment finance industry. Navitas provides financing to small and medium sized businesses throughout the United States to help them grow and stay competitive. With multiple offices across the country, and an entrepreneurial culture while also supported by a leading regional bank, Navitas is looking for talented individuals to join our team and grow with the company. We are seeking a full time experienced and highly motivated Treasury Accountant as part of our Accounting team to work in our Mount Laurel, NJ office. This position will be responsible for controlling the daily company cash position ensuring sufficient funding, approving daily wires, ACH’s and check payments, ensuring investors are properly paid, controlling administration of company bank accounts, controlling payment fraud risk and supporting the company’s asset sales program. In addition, the position will prepare the accounting entries for the above functions. The role includes the maintenance, analysis and reconciliation of multiple general ledger accounts and preparation of certain accounting reports and analyses. The position reports directly to the Treasury Director with significant interaction with the SVP of Accounting and Finance. Successful candidates will be part of a great working environment and supportive team What You’ll Do Key Responsibilities: Scheduling daily cash needs and inflows as appropriate to ensure sufficient cash for corporate needs. Requesting fundings from parent resources as appropriate. Approving daily payment activity including wires, ACH payments and check payments by reviewing payments and comparing to appropriate documentation. Maintaining daily investor activity files to ensure that investors receive the appropriate payments. Reconciling cash activity to the various report sources daily to ensure that inflows and outflows are properly controlled. Prepare accounting entries associated with daily payment activity. Assisting with the asset sale program as a backup by preparing investor files and related calculations and revising as appropriate as investors make asset selections. Interfacing with investors and handling any buybacks as appropriate. Preparing asset sale entries as appropriate. Prepare monthly reconciliations of cash due investors and cash flows. Prepare monthly reconciliations of sold portfolios by investor including related accounting entries. Provide controls over the company’s cash management to include: Administrating the interface with the internal UCB and external bank systems and representatives to control user access. Initiating the transfer of funds among accounts as needed. Administrating fraud risk parameters and reporting and suspected fraud through IC3’s and other means. Administering and communicating banking alerts as appropriate. Maintain Policies and Procedure Manual Prepare various financial reports utilizing the financial system. Prepare various ad hoc or ongoing financial analyses. Assist in schedule preparation for the audits as needed, including interfacing with auditors as necessary Document Treasury accounting functions and controls as needed. Requirements For Success Education and other credentials: Bachelor's degree in accounting or finance or strong accounting, reconciliation and control experience in a financial services environment. CTP or CTP candidate desirable. Experience: 3-5 years experience as a treasury accountant with significant exposure to control and reporting functions. Financial services industry experience highly preferred. Technical / Functional skills and knowledge: Experience in accounting entries and general ledger account reconciliation processes. Experience reconciling high-volume interfaced general ledger accounts. Advanced skills in Microsoft Excel, including Function formulas such as VLOOKUPS, SUMIFS, and NPV. Working with pivot tables and graphs required. Proficient in Microsoft Office products Experience in financial systems use required with report writing experience desired. Comfortable with system interfaces including exporting/importing data among various systems. Experience with database management and reporting tools a plus. Success factors: Organized and meticulous attention to detail. Ability to work through issues independently. Ability to thrive and meet deadlines in a quick paced, high profile, entrepreneurial environment. Ability to work in ambiguous situations and define a path to resolution. Must be able to work in a team environment. Structured, systematic problem solving and thinking. Cross-functional teamwork, collaboration and strong oral and written communication skills. Self-starter with strong organizational and time management skills. Willing to take on additional projects and duties as needed. Benefits: Competitive base salary Lucrative bonus plan Opportunity for career growth On-going training opportunities Excellent benefits plan Matching 401K offered Conditions of Employment Must be able to pass a criminal background & credit check This is a full-time, non-remote position FLSA Status: Exempt Ready to take your career to the next level? Apply now and become a vital part of our team! We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state, or local protected class. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. Pay Range USD $0.00 - USD $0.00 /Yr.

Full job record

Job IDf47b7e5d028e066accfd21312b625ce9c77f5c3b
Org ID3c4d23ae-2e60-45ee-b075-dffd8eb904d2
Source ID67d44b2a-d662-4608-8044-39fa27a8ca08
Board ID67d44b2a-d662-4608-8044-39fa27a8ca08
Providericims
Provider Job Key1928
TitleTreasury Accountant
Normalized Title
Statusactive
Activeyes
Location TextMount Laurel, NJ, US
DepartmentNavitas
Team
Employment Typefull_time
Workplace Typeremote
Remote Policyremote
CountryUnited States
RegionNJ
CityMount Laurel
Salary RawOverview Navitas Credit Corp, a subsidiary of United Community Bank, is a rapidly growing financial services firm that is a leader in the equipment finance industry. Navitas provides financing to small and medium sized businesses throughout the United States to help them grow and stay competitive. With multiple offices across the country, and an entrepreneurial culture while also supported by a leading regional bank, Navitas is looking for talented individuals to join our team and grow with the company. We are seeking a full time experienced and highly motivated Treasury Accountant as part of our Accounting team to work in our Mount Laurel, NJ office. This position will be responsible for controlling the daily company cash position ensuring sufficient funding, approving daily wires, ACH’s and check payments, ensuring investors are properly paid, controlling administration of company bank accounts, controlling payment fraud risk and supporting the company’s asset sales program. In addition, the position will prepare the accounting entries for the above functions. The role includes the maintenance, analysis and reconciliation of multiple general ledger accounts and preparation of certain accounting reports and analyses. The position reports directly to the Treasury Director with significant interaction with the SVP of Accounting and Finance. Successful candidates will be part of a great working environment and supportive team What You’ll Do Key Responsibilities: Scheduling daily cash needs and inflows as appropriate to ensure sufficient cash for corporate needs. Requesting fundings from parent resources as appropriate. Approving daily payment activity including wires, ACH payments and check payments by reviewing payments and comparing to appropriate documentation. Maintaining daily investor activity files to ensure that investors receive the appropriate payments. Reconciling cash activity to the various report sources daily to ensure that inflows and outflows are properly controlled. Prepare accounting entries associated with daily payment activity. Assisting with the asset sale program as a backup by preparing investor files and related calculations and revising as appropriate as investors make asset selections. Interfacing with investors and handling any buybacks as appropriate. Preparing asset sale entries as appropriate. Prepare monthly reconciliations of cash due investors and cash flows. Prepare monthly reconciliations of sold portfolios by investor including related accounting entries. Provide controls over the company’s cash management to include: Administrating the interface with the internal UCB and external bank systems and representatives to control user access. Initiating the transfer of funds among accounts as needed. Administrating fraud risk parameters and reporting and suspected fraud through IC3’s and other means. Administering and communicating banking alerts as appropriate. Maintain Policies and Procedure Manual Prepare various financial reports utilizing the financial system. Prepare various ad hoc or ongoing financial analyses. Assist in schedule preparation for the audits as needed, including interfacing with auditors as necessary Document Treasury accounting functions and controls as needed. Requirements For Success Education and other credentials: Bachelor's degree in accounting or finance or strong accounting, reconciliation and control experience in a financial services environment. CTP or CTP candidate desirable. Experience: 3-5 years experience as a treasury accountant with significant exposure to control and reporting functions. Financial services industry experience highly preferred. Technical / Functional skills and knowledge: Experience in accounting entries and general ledger account reconciliation processes. Experience reconciling high-volume interfaced general ledger accounts. Advanced skills in Microsoft Excel, including Function formulas such as VLOOKUPS, SUMIFS, and NPV. Working with pivot tables and graphs required. Proficient in Microsoft Office products Experience in financial systems use required with report writing experience desired. Comfortable with system interfaces including exporting/importing data among various systems. Experience with database management and reporting tools a plus. Success factors: Organized and meticulous attention to detail. Ability to work through issues independently. Ability to thrive and meet deadlines in a quick paced, high profile, entrepreneurial environment. Ability to work in ambiguous situations and define a path to resolution. Must be able to work in a team environment. Structured, systematic problem solving and thinking. Cross-functional teamwork, collaboration and strong oral and written communication skills. Self-starter with strong organizational and time management skills. Willing to take on additional projects and duties as needed. Benefits: Competitive base salary Lucrative bonus plan Opportunity for career growth On-going training opportunities Excellent benefits plan Matching 401K offered Conditions of Employment Must be able to pass a criminal background & credit check This is a full-time, non-remote position FLSA Status: Exempt Ready to take your career to the next level? Apply now and become a vital part of our team! We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state, or local protected class. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. Pay Range USD $0.00 - USD $0.00 /Yr.
Salary Min0
Salary Max0
Salary CurrencyUSD
Salary Periodday
Source URLhttps://careers-ucbi.icims.com/jobs/1928/treasury-accountant/job
Apply URLhttps://careers-ucbi.icims.com/jobs/1928/treasury-accountant/job
First Seen At2026-05-31 18:42:05Z
Last Seen At2026-06-06 20:35:32Z
Last Checked At2026-06-06 20:35:32Z
Last Changed At2026-06-01 13:54:00Z
Inactive At
Source Posted At2026-05-15 04:00:00Z
Source Updated At2026-05-15 20:39:31Z
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