Job Description
Summary:
The Treasury Specialist is responsible for supporting the organization’s treasury and cash management functions across the property management portfolio. This role oversees daily cash activity, banking transactions, account reconciliations, and cash flow reporting to ensure the timely and accurate management of funds across multiple properties and entities. The Treasury Specialist works closely with Accounting, Accounts Payable, and Operations teams to support efficient financial operations, maintain compliance with internal controls, and assist in optimizing treasury processes and reporting.
What you'll get to do:
Cash Management & Treasury Operations: