JOB DETAILS

Cash Management Specialist

CompanyNorthdale Oil Inc
LocationGrand Forks
Work ModeOn Site
PostedFebruary 16, 2026
About The Company
Northdale Oil Inc is an oil & energy company based out of East Grand Forks, MN, serving North Dakota and Minnesota. Northdale is a diverse company which owns and operates 14 convenience stores and a fleet of over 35 transports specializing in petroleum products including gasoline, diesel, diesel exhaust fluid, propane, oils and lubricants. With the fleet of over 35 transports, Northdale's footprint reaches the whole Midwest and into Canada. Northdale, founded in 1967, is a family-owned and operated company. strives for excellence by: offering a wide selection of quality products at a competitive value, fostering service-orientated and boldly optimistic team members, meeting the volatile demands and challenges of the industry, moving forward into the future while remembering our roots, valuing people, and creating an environment that has a passion for winning.
About the Role

Description

  

Position Summary

The Cash Management Specialist is responsible for all aspects of the cash management function ensuring designated cash processing, reconciliation and reporting functions are completed correctly and efficiently. The Cash Management Specialist will have a forward-thinking, organized, and analytical mindset. This individual is responsible for managing relations with customers, vendors, and several banks and will be held accountable for accurate and timely cash transactions. 


Responsibilities and Duties

Cash Management and Reconciliation 

· Daily cash management operations to include cash administration, management of current accounts and bank relations.

· Timely reconcile cash application and disbursements.

· Monitor and verify cash transactions to ensure the bank accounts balance to internal reports.

· Investigate and verify any unusual transactions.

· Forecast, monitor, and track cash flow.

· Monitor all incoming and outgoing ACH transactions.

· Establish trust with customers.

· Manage all incoming credit card funds and ATM income.

· Make researched, proactive, and timely decisions with all cash management transactions by borrowing on lines of credit.

· Maintain positive balances in all accounts while maximizing optimal account management.

· Understand cash flow and project future cash flow.

· Communicate directly with ownership team. 


Customer Service

  • Provide professional customer service support for internal and external customers
  • Respond to billing, inventory, and account inquiries in a timely manner
  • Coordinate with operations teams, drivers, and sales teams
  • Ability to manage multiple priorities and meet deadlines
  • Strong communication and organizational skills

Work Environment & Expectations

  • In-person, office-based position requiring regular interaction with financial and operations  teams
  • Commitment to  confidentiality and accuracy in financial and operational data

Requirements

  

Qualifications

· High school diploma or equivalent required; associate degree or relevant coursework preferred

· Prior Accounting or Finance experience preferred.

· Familiarity with bank cash management systems required.

· Specific skills:

· Working knowledge of MS Word, Excel and Outlook

· Excellent oral and written communication skills

· Strong time management, planning, organizational and decision-making 

· Analytical Mindset

· Dependability

· Professionalism

· Trustworthiness and forward-thinking mindset

Key Skills
Cash ManagementReconciliationCash AdministrationBank RelationsCash Flow ForecastingACH TransactionsCredit Card ManagementLine of Credit ManagementCustomer ServiceMS WordMS ExcelMS OutlookCommunicationOrganizationAnalytical MindsetDecision-Making
Categories
Finance & AccountingAdministrativeCustomer Service & Support
Job Information
📋Core Responsibilities
The Cash Management Specialist is responsible for all daily cash management operations, including processing, reconciliation, and reporting, while managing relationships with customers, vendors, and banks to ensure timely and accurate transactions. This role involves forecasting cash flow, monitoring all incoming/outgoing transactions like ACH and credit card funds, and making proactive decisions regarding lines of credit.
📋Job Type
full time
📊Experience Level
2-5
💼Company Size
80
📊Visa Sponsorship
No
💼Language
English
🏢Working Hours
40 hours
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