Staff Accountant, Treasury & Accounts Payable

Location
St Louis
Workplace
Hybrid

About this role

As a Staff Accountant you will support the day-to-day financial operations of Build-A-Bear ensuring accurate record keeping and compliance with accounting standards. This position plays a crucial role in maintaining our financial health.

Responsibilities:

  • Perform cash matching and reconciliation for 350+ retail stores across North America via Blackline system, utilizing a strong investigative mindset to identify, analyze, and resolve discrepancies.
  • Import daily Brink's cash collection files into Blackline and record journal entries in the general ledger in Microsoft Dynamics 365 (D365), ensuring accuracy and completeness.
  • Prepare and post month-end cash shortage (cash short) journal entries for North American stores.
  • Prepare and post month-end cash-in-transit journal entries for North American stores.
  • Maintain regular communication with North America Store Operations teams to investigate and resolve cash discrepancies, demonstrating a proactive approach.
  • Support North America new store openings by:
    • Establishing merchant services for all card payment methods accepted 
    • Coordinating cash collection services through Brink's or other armored carrier providers.
    • Opening bank accounts when required for non-Brink's locations.
    • Arranging and funding for opening store cash floats.
  • Review and validate invoices from cash collection providers to ensure services are billed accurately and discrepancies are identified and resolved promptly.
  • Manage the corporate credit card program, providing timely support and resolving issues.
  • Produce bank reconciliations within the timescales set at month end and thoroughly investigate outstanding items to ensure timely resolution.
  • Responsible for North America Accounts Payable payment run, ensuring supplier payments are processed accurately and within established deadlines and Direct Debits booked weekly.
  • Demonstrate a positive, can-do attitude and a commitment to continuous improvement by seeking opportunities to enhance processes, controls, and operational efficiency.

 

Required Qualifications:

  • Bachelor’s degree in accounting, or progress towards degree
  • Experience in a corporate treasury environment; responsible for cash and liquidity management
  • Experience with bank portals and processes
  • Strong analytical and financial skills.

 

Preferred Qualifications:

  • Retail industry experience.
  • Blackline software experience
  • Proficient in Microsoft Dynamics 365 (D365)

 

Behavioral Traits for Success:

  • Meticulous accuracy
  • Consistency and reliability
  • Deep subject-matter ownership
  • Strong process discipline
  • Risk awareness and thoughtful decision-making
  • Patience and persistence
  • High accountability
  • Structured communication

Working Environment:

  • Typical office environment with climate control and sufficient lighting, ergonomic desk/chairs
  • Hybrid work schedule
  • Corporate Office located St. Louis, MO

 

Your performance will be measured on:

Your performance will be measured by your ability to achieve annual department objectives and corporate goals which include but are not limited to the following.

  • Decision-making, judgment, and execution
  • Communication
  • Timely and accurate weekly payment processing
  • Number of unmatched items
  • Timely complete month-end tasks according to the month-end close schedule
  • Seamless new store opening
  • Judgment on escalating issues
  • Monitoring cash for in-store sales
  • Credit card management
  • Deadlines and accuracy
  • Stakeholder Feedback

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