Description: 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. Corporate Accounting 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 Treasury Management 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 Requirements: Qualifications 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 MRI software experience preferred CPA preferred Core Competencies 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 Work Environment This hybrid position operates within a professional office environment and requires regular interaction with accounting, finance, and operational personnel across the organization. The Lawson Companies is an equal opportunity employer that offers full-time employees a competitive package that includes, but is not limited to, medical, dental, vision, life insurance, 401K options, PTO, a competitive salary, and a project bonus structure. PId98041dabbe4-25448-40400472
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