> Markdown version of [/jobs/ext/3662244-cash-application-specialist](https://www.wearedevelopers.com/jobs/ext/3662244-cash-application-specialist). Every page supports `.md` or `Accept: text/markdown`. Links point to the HTML versions so they work for humans too. Agent guide: [/agents.md](https://www.wearedevelopers.com/agents.md). --- # Cash Application Specialist - **Company:** Robert Half - **Location:** Seattle, WA, United States - **Contract:** Temporary contract - **Skills:** Microsoft Excel, Software Documentation, Payment Systems - **Published:** October 9, 2026 - **Apply:** https://www.seattlejobs.com/job.asp?id=3426243255&tx=KJ5959FFI&pt=1&aff=0B19D771-A501-4A5E-8338-2A822B784D54&utm_source=Job%20Feed&utm_medium=textkernel&utm_campaign=DE&utm_term=0B19D771-A501-4A5E-8338-2A822B784D54 ## About the Role Description We are looking for a detail-oriented Cash Application Specialist to join our team on a contract basis. This position focuses on applying incoming payments accurately, maintaining reliable reconciliations, and helping ensure the integrity of receivables activity. The ideal candidate brings strong analytical skills, sound judgment, and a proactive approach to improving cash application processes while working closely with cross-functional partners., * Offer day-to-day guidance and training to entry-level team members while fostering continuous learning and process knowledge sharing. Requirements - Experience in cash application, payment posting, or accounts receivable support within a high-volume transaction environment. * Working knowledge of bank reconciliations, sub-ledger balancing, and investigation of payment exceptions. * Ability to resolve short pays, overpayments, unapplied cash, and other remittance discrepancies with accuracy and urgency. * Proficiency in Microsoft Excel for analysis, reconciliation, and reporting tasks. * Strong attention to detail with the ability to manage deadlines and maintain data accuracy across multiple payment sources. * Effective communication skills and the ability to work cross-functionally with finance and customer-facing teams. * Understanding of internal controls, documentation standards, and financial reporting support processes., All applicants applying for U.S. job openings must be legally authorized to work in the United States. Benefits are available to contract/temporary professionals, including medical, vision, dental, and life and disability insurance. Hired contract/temporary professionals are also eligible to enroll in our company 401(k) plan. Visit roberthalf.gobenefits.net for more information. ## Description * Record and allocate a high volume of incoming payments from multiple channels, including lockbox transactions, wire activity, and online payment methods, with a strong focus on accuracy and timeliness. * Complete routine bank and sub-ledger reconciliations and investigate variances to confirm that cash activity is fully and correctly reflected in financial records. * Analyze unresolved payment items such as unapplied cash, partial remittances, overpayments, and other discrepancies, then drive issues through to resolution. * Collaborate with Accounts Receivable, Billing, Sales, and Customer Service teams to clarify payment details and resolve account-level exceptions efficiently. * Review refund requests, validate supporting information, and process provider refunds in accordance with established controls and policies. * Contribute to month-end close by preparing cash-related support, reconciling receivable balances, and ensuring transactions are posted within reporting deadlines. * Produce recurring and ad hoc cash reporting to support operational visibility and financial decision-making. * Recommend and implement workflow enhancements that improve efficiency, strengthen accuracy, and support future growth in transaction volume. * Maintain clear process documentation and support internal control activities related to cash handling and financial reporting.