Residential and Corporate Real Estate Property Management
Job Description
Assist in creating monthly, quarterly and annual management reporting packages
Assist in compiling consolidated annual budgets (develop templates, assumptions, analyses and reports), forecasts (templates and set frequency and levels of detail), and performance management (development of key performance indicators, setting of target, and analysis/reporting)
Create monthly cash flow projections for the consolidated corporate and emerging markets portfolio
Assist in the development of portfolio level financial models, reports, graphs, metrics and other analysis
Prepare actual versus budget variance analysis
Maintain relationships with internal and external customers
Prepare ad-hoc analysis
Qualifications
Minimum of 3-5 years of work experience in Real Estate Finance and or/Accounting
Advanced Excel User
Undergraduate degree required; Advanced Degree, CFA and/or MBA, a plus