This position is tasked with managing the financial performance of a portfolio of real estate assets, ensuring they align with organizational objectives and deliver maximum returns. Core responsibilities include performance monitoring, financial analysis, investor reporting, and fostering collaboration with internal teams and external stakeholders.
Key Responsibilities:
Asset Oversight:
Track asset performance metrics, including occupancy, revenue, expenses, and NOI.
Conduct performance reviews to identify opportunities for value enhancement and operational improvements.
Financial Analysis & Reporting:
Analyze property financials to ensure accuracy and adherence to accounting standards.
Develop financial forecasts, budgets, and capital expenditure reports.
Prepare detailed investor reports and communicate performance metrics promptly.
Budgeting & Forecasting:
Create and manage budgets specific to each asset.
Monitor financial performance, identifying and addressing variances against forecasts.
Risk & Compliance Management:
Identify operational risks and develop strategies to mitigate them.
Ensure compliance with accounting regulations (GAAP, IFRS) and maintain robust internal controls.
Support internal and external audit processes as needed.
Stakeholder Engagement:
Collaborate with property managers, senior leadership, and investors to align on asset goals.
Build and sustain productive relationships with all key stakeholders.
Qualifications:
In-depth knowledge of asset management, property financials, and accounting practices.
Strong analytical skills with a focus on financial accuracy and risk management.
Effective communication and interpersonal abilities to work with diverse stakeholders.
Experience in budgeting, forecasting, and financial modeling.
Proficiency in accounting software and asset management systems.
Highly detail-oriented with excellent organizational and multitasking capabilities.