Accounting & Treasury Operations Specialist

Landmark HospitalityPlainfield, NJ
Onsite

About The Position

The Accounting & Treasury Operations Specialist supports the Controller and CFO across multiple business entities by ensuring the timely execution of accounting operations, treasury support, compliance tracking, payroll-related administration, and vendor coordination. This role is ideal for someone who is highly organized, detail-oriented, comfortable with technology, and able to manage multiple recurring workflows in a fast-paced, multi-entity environment. The position requires strong follow-through, confidentiality, and the ability to coordinate effectively with internal teams, vendors, banks, and outsourced accounting partners.

Requirements

  • 3–5 years of accounting, bookkeeping, treasury support, or financial operations experience.
  • Strong Excel skills, including VLOOKUPs/XLOOKUPs, pivot tables, filtering, and reconciliations.
  • Comfortable working with technology, online portals, shared drives, and accounting systems.
  • Strong attention to detail, organization, and follow-through.
  • Ability to manage confidential information professionally.
  • Strong written and verbal communication skills.
  • Ability to work cross-functionally with accounting, operations, HR, vendors, banks, and outsourced accounting teams.
  • Must be comfortable working on-site and handling occasional document delivery, mailing, or banking-related tasks.

Nice To Haves

  • Experience with Tripleseat, Toast, Restaurant365, Craftable, Paycom, or similar systems preferred.

Responsibilities

  • Assist the Controller with oversight and coordination of the outsourced bookkeeping team.
  • Process, print, mail, and overnight checks as needed.
  • Scan checks and communicate receipt details for proper posting.
  • File bank statements, checking statements, mortgage statements, and other financial documents to support month-end close.
  • Monitor daily cash activity and help ensure timely deposits.
  • Report daily cash inflows, outflows, and banking activity.
  • Review daily Positive Pay and ACH activity and support fraud-control procedures.
  • Manage vendor statements, reconciliations, and AP aging follow-up with outsourced accounting teams.
  • Track banquet receivables and coordinate timely payment posting.
  • Oversee property tax tracking and compliance deadlines.
  • Maintain vendor portals, banking portals, and system credentials.
  • Support sales tax and occupancy tax filing workflows.
  • Maintain recurring accounting, treasury, and compliance deadline trackers.
  • File annual reports for all business entities.
  • Manage renewals for liquor licenses, cigar licenses, food establishment licenses, UEZ registrations, and other operating permits.
  • Track company vehicle registrations and insurance documentation.
  • Maintain short-term disability compliance filings.
  • Submit monthly captive insurance deposits and reporting.
  • Maintain organized records for licenses, filings, renewals, and compliance deadlines.
  • Complete vendor credit applications and W-9 forms.
  • Assist with registering new properties and supporting LLC formation.
  • Provide administrative, accounting, and financial documentation support as needed.
  • Coordinate with internal departments and external vendors to obtain missing information, resolve issues, and keep workflows moving.
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