Treasury & Accounting Manager

Clear Investment GroupChicago, IL
Onsite

About The Position

Clear Investment Group, a boutique real estate investment firm in Chicago, is seeking a Treasury & Accounting Manager to join our accounting and finance team. This role is ideal for a motivated, detail-oriented professional with strong real estate accounting experience, treasury experience, and the ability to support accounting operations across multiple entities, properties, and projects. The Treasury & Accounting Manager will report to the Financial Controller and manage two direct reports: the Accounts Payable Coordinator and Senior Property Accountant. This position will support the team in meeting deadlines, managing priorities, and ensuring accounting responsibilities are completed accurately and on time. We are a flat, collaborative organization with a culture built on transparency, positivity, and continuous learning. We value our employees both inside and outside of work and offer competitive compensation, bonus potential, subsidized BCBS health insurance, dental coverage, a 401(k) plan, paid time off, and holiday pay.

Requirements

  • 5+ years of accounting and finance experience
  • At least 3 years of real estate accounting or finance experience
  • Prior management or supervisory experience
  • Strong treasury, cash flow management, budgeting, and forecasting experience
  • Excellent attention to detail and organizational skills
  • Ability to manage priorities across multiple entities, properties, and projects
  • Strong communication skills and comfort working with senior leadership

Nice To Haves

  • Experience with Yardi is a plus

Responsibilities

  • Manage company-wide cash positions across entities, properties, and projects
  • Prepare and update cash flow forecasts twice monthly
  • Support cash flow analysis, liquidity planning, budgeting, and scenario planning
  • Manage intercompany transactions, borrowing activity, reporting, and documentation
  • Supervise and support the Accounts Payable Coordinator and Senior Property Accountant
  • Help direct reports manage deadlines, priorities, and day-to-day responsibilities
  • Review and support accounts payable, property accounting, and month-end close activities
  • Prepare financial statements and management reports, including quarterly investor reports
  • Support property-level financial analysis, pro forma reporting, and expense variance analysis
  • Review and approve ledger entries by auditing transactions
  • Oversee balance sheet reconciliations
  • Assist with fund accounting and investor-related activities
  • Work closely with the Financial Controller, CFO, and accounting team
  • Support ad hoc accounting, treasury, and finance projects as needed

Benefits

  • Health and Dental Insurance
  • Access to 401K Enrollment
  • PTO and Holidays
  • Year end and performance-based bonuses
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