Senior Corporate Accountant

LawsonNorfolk, VA
Hybrid

About The Position

We are a vertically integrated construction, real estate development, and property management company seeking a Senior Corporate Accountant / Treasury Manager to oversee corporate accounting, cash management, and financial controls across multiple entities. This role is responsible for ensuring accurate financial reporting, optimizing liquidity, and supporting strategic decision-making across multiple legal entities. The position requires a disciplined and detail-oriented professional with strong technical accounting knowledge, treasury experience, and the ability to operate effectively within an established control environment. It offers the opportunity to work cross-functionally with operations, development, and property management teams.

Requirements

  • Bachelor’s degree in Accounting, Finance, or a related discipline
  • 5–10+ years of relevant accounting experience, with exposure to real estate, construction, or property management environments preferred
  • Strong knowledge of Generally Accepted Accounting Principles (GAAP)
  • Experience with multi-entity structures and intercompany accounting
  • Familiarity with treasury operations, cash management, and banking platforms
  • Proficiency in accounting systems and advanced Microsoft Excel skills
  • Strong technical accounting proficiency
  • Attention to detail and commitment to accuracy
  • Ability to manage deadlines and competing priorities
  • Professional communication and interpersonal skills
  • Sound judgment and adherence to established policies and procedures

Nice To Haves

  • MRI software experience preferred
  • CPA preferred

Responsibilities

  • Oversee the monthly, quarterly, and annual financial close processes
  • Prepare and review consolidated and entity-level financial statements in accordance with Generally Accepted Accounting Principles (GAAP)
  • Maintain and monitor the general ledger, including journal entries, accruals, and intercompany activity
  • Perform and review balance sheet reconciliations, ensuring completeness and accuracy
  • Coordinate review and compilation activities and serve as a primary point of contact for external auditors and tax advisors
  • Aid in reviewing partnership tax returns
  • Complete tax return payments for real estate partnerships and trusts
  • Manage daily cash positioning and monitor liquidity across all operating and project accounts
  • Review and approve cash disbursements, wire transfers, and intercompany funding transactions
  • Prepare and maintain cash flow forecasts and variance analyses

Benefits

  • medical
  • dental
  • vision
  • life insurance
  • 401K options
  • PTO
  • competitive salary
  • project bonus structure
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