Commercial Real Estate company focusing on value-add transactions, distressed debt, and ground leases.
Fast • all-cash closings • Community enhancement through the revitalization of key neighborhoods • Successful rehabilitation of even the most troubled assets • National portfolio of expertly managed properties
August 27
🏢 In-office - Los Angeles
Commercial Real Estate company focusing on value-add transactions, distressed debt, and ground leases.
Fast • all-cash closings • Community enhancement through the revitalization of key neighborhoods • Successful rehabilitation of even the most troubled assets • National portfolio of expertly managed properties
• Highly visible and integral to the financial management of the company • Work with and support other departments including Finance, Asset Management and Acquisitions • Manage cash flow projections ensuring availability of funds • Assist in managing company relationships with banks, institutions and other financial partners • Ensure timeliness and accuracy of financial reporting to banks and other financial partners • Ensure compliance with loan covenants • Prepare and conduct financial presentations to banks and other financial partners • Propose action plans to ensure that financial objectives are attained • Assist in managing the balance sheet and revenues/expenses of the company • Explore new investment opportunities and provide recommendations on potential risks and returns • Work with the senior leadership team in the preparation of the long-term financial goals, annual plans, budgets and projections • Leverage past and existing networks to provide insight and recommendations to manage both short-term and long-term goals of the company • Assist in developing a capitalization strategy for new acquisitions and existing owned assets • Create strategic initiatives that generate additional opportunities for the company through external relationships • Assess financial risks and recommend strategies to mitigate those risks • Respond to financial related questions from lenders and other stakeholders • Partner with other internal departments to ensure that communications and presentation materials are accurate • Ensure budget and forecast models are accurate • Execute special projects and ad hoc analyses as needed
• Undergraduate degree required in accounting or business-related field • Both a CPA and graduate degree a plus • 15+ years of experience in real estate accounting or related field • Likely candidate will have come through an accounting or finance background with an understanding of real estate debt markets • Experience in Yardi software a plus • Demonstrated ability to maintain confidentiality • Strong organizational skills, including the ability to prioritize and multi-task • Advanced knowledge of Microsoft Office Suite, including Word, Excel, and Outlook • Ability to communicate effectively and professionally within all levels of the organization and externally with lenders and other outside parties • Ability to work independently and with minimum supervision • Ability to work in a fast-paced entrepreneurial environment • Must possess a strong work ethic • Must be a team player • Travel required (20%)
• Excellent compensation package • Exciting opportunity • Chance to grow and develop
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