About the position
This highly visible role assists in gathering and analyzing financial data across the platform to produce forward-looking financial statements, operating metrics, and performance insights. You will support FP&A initiatives and provide actionable analysis for senior management and the Board.
Responsibilities
• Report monthly KPI’s, prepare quarterly scorecards, and generate ad hoc reports.
• Assist with preparing the annual five-year Business Plan and quarterly reforecast.
• Support quarterly valuations and the annual appraisal process.
• Maintain the monthly corporate cash forecast.
• Conduct research on competitors, market stats, and regional benchmarks.
• Analyze both internal and external data to provide actionable insights.
• Act as a liaison between corporate and regional offices.
• Maintain property-level cash flow models.
• Develop and manage complex Excel models.
• Perform other duties as assigned.
Requirements
• Bachelor’s Degree in Business Management, Accounting, Finance, or Real Estate required.
• 0–1 year of prior work experience; financial modeling experience preferred.
• Experience performing financial analysis in finance or real estate preferred.
• Advanced Excel skills and proficiency in Word and PowerPoint.
• Strong analytical, problem-solving, and organizational skills.
• Effective oral and written communication abilities.
• Ability to manage multiple tasks and meet strict deadlines.
Nice-to-haves
• VBA experience is a plus.
Benefits
• Comprehensive benefits including medical, dental, vision, and life insurance.
• 401(k) plan with company match.
• Paid time off and holidays.
• Professional development opportunities.