Job Description

About the Opportunity:Support onboarding and offboarding of investments, including reviewing organizational structures, fund flows, loan agreements, cash management agreements, closing statements, and purchase price allocations. Coordinate with third-party property managers as needed.Prepare financial information, analytics, and reporting to ensure accuracy and optimal performance. Assist in preparing materials for board meetings, valuation meetings, and quarterly results presentations.Produce financial and management reporting, analyzing return metrics (e.g., IRR, MOC, TWR) and ensuring compliance with lenders, REIT requirements, statutory regulations, and internal governance.Coordinate with lenders and internal teams for loan draws, capital calls, and distributions.Prepare fund and investment property reporting, including financial statements in accordance with US GAAP (Investment Company Accounting) and IFRS.Assist with quarterly reporting deliverables, external audits, and tax reporting with Big 4 firms.Contribute to financial planning and analysis, including valuation models, annual budgets, 5-year business plans, forecasting, and liquidity management.Support value-add initiatives, process and system improvements, and due diligence for refinancing, dispositions, development, and redevelopment projects.Collaborate with tax consultants on real estate tax reassessments and appeals as needed.About You:CPA-qualified or actively pursuing the designation, with 1–2 years of relevant experience.Strong communication and interpersonal skills, able to interact professionally across multiple levels of stakeholders.Highly organized, proactive, and self-motivated, with the ability to prioritize and deliver results independently in a fast-paced environment.Advanced proficiency in Microsoft Office, particularly Excel and PowerPoint.Strong analytical and problem-solving skills.Experience in real estate or the investment industry is a plus.

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