I’m looking for a remote role where I can use my treasury and finance operations experience to solve problems, improve processes, and support a great team. I value a collaborative culture, opportunities for growth, and a flexible work environment that focuses on outcomes while allowing for work-life balance.
Deja Porter
@dejaporter
Senior Treasury Specialist | Cash Management | ACH | Reconciliations | Finance Operations
What I'm looking for
I’m a Treasury and Finance Operations professional with experience supporting accurate, efficient, and scalable financial processes. My background includes treasury operations, cash management, payment processing, reconciliations, financial controls, and operational support across accounting and finance functions.
In my current role as a Senior Treasury Specialist, I manage a variety of treasury activities including ACH processing and exceptions, cash management, bank reconciliations, fraud prevention support, stop payments, general ledger adjustments, and month-end close activities. I enjoy working through complex issues, improving processes, and finding ways to make financial operations more accurate and efficient.
My previous experience as an Accounting Assistant provided me with a strong foundation in accounting principles, financial reporting support, reconciliations, and attention to detail. That experience continues to help me approach treasury work with a well-rounded understanding of how financial processes connect across an organization.
I’m passionate about roles where I can combine analytical thinking, problem-solving, and process improvement to support a strong finance team. I thrive in environments that value collaboration, trust, and continuous improvement, while providing opportunities to learn, grow, and take on new challenges.
I’m currently seeking a fully remote opportunity in treasury, finance operations, payments, or a related field where I can contribute my experience while continuing to grow professionally.
Experience
Work history, roles, and key accomplishments
Performed daily treasury operations across multiple bank accounts, including transaction processing and exception resolution in SAP. Owned monthly full bank reconciliations, administered Positive Pay and ACH monitoring/NSF investigations, and supported liquidity management across up to 11 bank accounts.
Accounting Assistant
Dynamic Integrated Services
May 2022 - Nov 2024 (2 years 6 months)
Supported multi-state payroll processing in collaboration with finance and HR teams to ensure accuracy and compliance. Managed accounts payable and receivable in QuickBooks and performed bank reconciliations and cash flow tracking.
Education
Degrees, certifications, and relevant coursework
California State University, San Bernardino
Bachelor of Arts, Business Administration (Finance concentration)
Bachelor of Arts in Business Administration with a concentration in Finance.
Tech stack
Software and tools used professionally
Availability
Location
Authorized to work in
Salary expectations
Job categories
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