Ownership of the projects’ financial and compliance requirements, and acting as the finance first point of contact for the Value Creation & Asset Management, Fund Reporting and Financial Reporting teams.
Working with the Value Creation & Asset Management team to manage the operational financial models for the projects and related analysis, including managing valuations.
Maintenance of monthly performance reporting including analysis and commentary on KPI’s to provide insight into budget variances and market trends.
Continuous automation and process improvement to enable more efficient and accurate workflows, and to reduce risk of error.
Understand and model the impacts of revenue and cost assumption changes to forecasts and budgets.
Maintain and enhance financial models to project key performance metrics such as cash flow, margin returns, operating returns, IRR, ROIC, MOIC, NPV, etc.
Assist with ad-hoc investor requests, project analysis, and portfolio-level analysis as required.
Requirements
Undergraduate degree completed in accounting or finance is required.
Further education and/or working towards finance/accounting designations (i.e., enrollment in programs such as CPA).
Strong excel modelling and analytical skills.
Genuinely curious with a desire to understand key metrics and drivers.
Minimum of one to two years with development or corporate or real estate accounting or FP&A experience is an asset.
Experience with PowerBI dashboarding is an asset.
Experience in Yardi or another asset management/ERP system is an asset.
Excellent communication skills, proactive nature, team player, desire to deliver highest and best results.
Ability to form collaborative working relationships and foster great culture