Manager of Corporate Finance

Real CapitalWinter Garden, FL
$115,000Hybrid

About The Position

The Corporate Finance Manager supports the Corporate Finance function at Real Capital Operations LLC, with primary responsibility for cash flow forecasting, accounts payable partnership, and recurring accounting oversight across the Store Space self-storage and Sud Stop car wash portfolios. The position owns a suite of 12 entity- and fund-level cash flow models and maintains them on a monthly cadence, producing the forecasting and variance analysis used by Corporate Finance and senior leadership to manage liquidity. The role serves as Corporate Finance's counterpart to the outsourced accounts payable function and coordinates recurring reconciliation, payment monitoring, and journal entry activity with the Company's outsourced accounting provider and RCP Controller. The position additionally supports Treasury, Asset Management, and Investor Relations with financial modeling and reporting, and contributes to the company's migration from Dynamics GP to NetSuite. The position reports to the Director of Corporate Finance and is expected to operate with substantial independence across recurring deliverables.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field
  • Minimum five years of progressive experience in financial analysis, FP&A, or corporate finance
  • Demonstrated ownership of cash flow forecasting or liquidity modeling, including responsibility for the underlying assumptions
  • Advanced proficiency in Microsoft Excel
  • Demonstrated professional use of AI tools (mainly Claude). Candidates should be prepared to describe specific applications they have built or processes they have automated or have a demonstrated mindset to implement technological advancements into daily responsibilities.
  • Experience working with multi-entity financial data and consolidated reporting

Nice To Haves

  • Real estate, private equity, or fund accounting experience
  • Experience with Dynamics GP, NetSuite, or a comparable multi-entity ERP, including participation in a system migration
  • Exposure to lender compliance reporting and debt covenant calculations
  • SQL or equivalent data query capability

Responsibilities

  • Assist with, maintain, and update 12 entity- and fund-level cash flow models on a monthly reporting cadence
  • Design and build three additional cash flow models within the first year, including source data mapping, assumption documentation, creating standard operating procedures, and validation against actual results
  • Serve as the Corporate Finance counterpart to the Accounts Payable function
  • Partner weekly with the outsourced Accounts Payable Manager to streamline processing workflows and establish sustainable long-term efficiencies
  • Research invoice-level detail in support of forecasting, financial analysis, vendor maintenance, and cross-functional inquiries
  • Prepare the weekly accounts payable approval schedule for executive review in support of cash management
  • Support Treasury, Asset Management, and Investor Relations with financial modeling, reporting, and ad hoc analysis
  • Support migration from Dynamics GP to NetSuite, including data validation, mapping review, and continuity
  • Identify, document, and implement process improvements across recurring Corporate Finance workflows
  • Assist with annual budgeting and quarterly reforecasting for the management company entities
  • Perform payment monitoring, account reconciliation, recurring reporting, and monthly journal entry preparation across outsourced functions including utilities management, property tax, personal property tax, and company credit card programs.
  • Coordinate with the outsourced accounting provider and the RCP Controller across recurring accounting requirements, including reporting, reconciliations, financial research, and accounts payable research
  • Monthly review of company Balance sheets and Income statements
  • Leverage AI platforms to build scalable SOPs, accelerate financial analysis, and identify opportunities to streamline and optimize existing processes across the finance function.

Benefits

  • Comprehensive Benefits – including medical, dental, vision, life, disability, and 401(k) retirement plans.
  • Work-Life Balance Support – paid time off, holidays, sick leave, parental leave, and other forms of protected leave across our companies.
  • Wellness & Lifestyle Perks – employer-funded Lifestyle Spending Account, Employee Assistance Program, and access to voluntary benefits such as pet insurance, accident, and critical illness coverage.
  • Growth & Opportunity – a culture of training, development, and internal promotion, with clear pathways for career advancement!
  • Medical, Dental & Vision
  • Generous PTO
  • 401K + 4% match
  • Bonus: Target 10% of annual base salary, paid annually based on achievement of the metrics below.
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service