Treasury and Audit - Assistant Controller

Mark-Taylor Residential Scottsdale, Arizona, United States Accounting/Finance

About this position

Description:

At Mark-Taylor, we believe our success starts with our people. For over 40 years, we’ve built and managed Arizona’s most beautiful apartment communities while fostering a culture centered on people, excellence and growth.


We are proud to be recognized as Ranking Arizona’s #1 Multifamily Builder and Manager, a Best Place to work in Multifamily, and a Healthiest Employer by the Phoenix Business Journal, and more.


Our communities are growing and so is our corporate team! We’re hiring a Treasury and Audit- Assistant Controller at our corporate office in Scottsdale, AZ.  


Why You’ll Love working at Mark-Taylor

  • Employee rent discounts.*
  • Access to all Mark-Taylor amenities.
  • Employee appreciation events.
  • Opportunities for career growth.
  • 401(k) with robust company match.**
  • Paid time off, sick time, holidays, and volunteer time.**
  • Comprehensive Medical, Dental, and Vision benefits.**
Requirements:
  • Bachelor’s 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.

In this role, 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.

Mark-Taylor is an equal opportunity employer and a drug-free workplace. All our employees undergo pre-employment screening which includes drug testing.


*Housing discounts are subject to availability at each community.
**Benefits offered for full-time employees.