USA remote
Accounts Receivable Analyst, Order- to- Cash
About this role
Accounts Receivable Analyst, Order-to-Cash Location: Remote | U.S. About the Role We are seeking an Accounts Receivable Analyst with strong Order-to-Cash and revenue cycle experience. This role will own assigned customer accounts across invoicing, invoice delivery, collections, cash application, reconciliations, and issue resolution. The ideal candidate is detail-oriented, highly organized, and able to work independently while identifying root causes, solving problems, and improving AR processes.
Location: This role is remote U.S. location What We're Looking For We're excited to meet candidates who have many of the following qualifications: Own assigned customer accounts throughout the Order-to-Cash lifecycle, from invoice creation and delivery through collection and payment application. Prepare and process customer invoices accurately and within established deadlines. Review invoices and supporting documentation for completeness and compliance with customer-specific billing requirements.
Submit invoices through the appropriate customer portals, VMS platforms, EDI channels, or other delivery methods. Monitor invoice submissions through acceptance, promptly researching and resolving rejections, missing documentation, and other delivery issues. Review aging reports and perform consistent, professional follow-up on outstanding balances. Communicate directly with customers to obtain payment status, resolve disputes, and secure payment commitments.
Maintain clear collection notes, follow-up dates, supporting documentation, and account histories. Escalate unresolved balances, process delays, and other risks proactively with sufficient supporting detail. Apply cash receipts accurately and promptly. Research and resolve unapplied cash, misapplied payments, short payments, overpayments, deductions, and unidentified remittances. Perform detailed customer account reconciliations involving invoices, payments, credits, adjustments, and disputed balances.
Partner with internal teams to resolve issues while retaining ownership and following each item through completion. Identify recurring problems, determine root causes, and recommend improvements to Order-to-Cash processes and controls. Create and maintain clear process documentation and standard operating procedures. Maintain accurate, audit-ready AR records and support period-end close activities, reconciliations, and reporting as needed.