Treasury and Audit- Assistant Controller

Mark-TaylorScottsdale, AZ
21dOnsite

About The Position

Mark-Taylor is the region's longest-standing investment manager, developer and owner of Class-A multifamily real estate on behalf of numerous third-party owners. We are proud to be recognized as Ranking Arizonas #1 Multifamily Builder and Manager, a Best Place to Work in the Multifamily Industry, Healthiest Employer by the Phoenix Business Journal, and more. As our portfolio continues to grow, so does our Corporate Team! Mark-Taylor is hiring a Treasury and Audit- Assistant Controller to join our Accounting Team! Our corporate office is located in McCormick Ranch neighborhood of Scottsdale, AZ. This position serves as a key leader within our Finance team, overseeing all treasury functions and internal audit activities. The role is accountable for protecting the integrity of our financial processes, optimizing cash management across corporate and property operations, and strengthening internal controls. Were seeking a strategic, solutions-driven leader with strong analytical skills, deep financial systems expertise, and a dedication to continuous improvement. You're Excited About This Role Because You Will: Oversee daily cash management and forecasting for corporate operations and multiple properties. ACH and wire transfers Conduct cash distribution analysis to ensure timely and accurate property-level disbursements. Manage banking relationships and ensure compliance. Monitor and optimize working capital and cash flow across the portfolio. Support investment strategies and risk management initiatives. Lead treasury-related reporting and analytics. Support CFO and Controller with strategic financial projects. Oversee daily cash management and forecasting for corporate operations and multiple properties. ACH and wire transfers Conduct cash distribution analysis to ensure timely and accurate property-level disbursements. Manage banking relationships and ensure compliance. Monitor and optimize working capital and cash flow across the portfolio. Support investment strategies and risk management initiatives. Lead treasury-related reporting and analytics. Support CFO and Controller with strategic financial projects Develop and maintain internal and external audit programs and schedules. Coordinate with external auditors and ensure timely completion of audits. Evaluate and enhance internal control systems across departments. Ensure compliance with GAAP, SOX (if applicable), and company policies. Investigate and resolve audit findings and implement corrective actions.

Requirements

  • Bachelors degree in Accounting, Finance, or related field (CPA or MBA preferred).
  • 7+ years of progressive experience in accounting, treasury, or audit.
  • Strong knowledge of cash management, financial controls, and audit practices.
  • Experience with multiple ERP systems and financial reporting tools.
  • Excellent communication, leadership, and problem-solving skills.

Responsibilities

  • Oversee daily cash management and forecasting for corporate operations and multiple properties.
  • ACH and wire transfers
  • Conduct cash distribution analysis to ensure timely and accurate property-level disbursements.
  • Manage banking relationships and ensure compliance.
  • Monitor and optimize working capital and cash flow across the portfolio.
  • Support investment strategies and risk management initiatives.
  • Lead treasury-related reporting and analytics.
  • Support CFO and Controller with strategic financial projects
  • Oversee daily cash management and forecasting for corporate operations and multiple properties.
  • ACH and wire transfers
  • Conduct cash distribution analysis to ensure timely and accurate property-level disbursements.
  • Manage banking relationships and ensure compliance.
  • Monitor and optimize working capital and cash flow across the portfolio.
  • Support investment strategies and risk management initiatives.
  • Lead treasury-related reporting and analytics.
  • Support CFO and Controller with strategic financial projects
  • Develop and maintain internal and external audit programs and schedules.
  • Coordinate with external auditors and ensure timely completion of audits.
  • Evaluate and enhance internal control systems across departments.
  • Ensure compliance with GAAP, SOX (if applicable), and company policies.
  • Investigate and resolve audit findings and implement corrective actions.

Benefits

  • Opportunities for career growth
  • Employee referral program
  • Paid time off, paid sick time, paid holidays, paid volunteer time
  • Medical, dental, vision benefits, including paid parental leave
  • 401k with company match
  • Employee appreciation events
  • MT Wellness program with optional Gympass membership
  • Access to all Mark-Taylor Residential amenities (including our resort-style pools and fitness centers)
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