Company/Role Overview
Leading Real Estate Investment & Development firm located in Midtown, NYC. This position will report directly to the CFO and involves a blend of management reporting, FP&A, and accounting. It offers a hybrid work schedule along with competitive compensation and excellent benefits.
Key Responsibilities
- Collaborate with the CFO to manage US financial operations, focusing on optimizing resources and infrastructure for improved effectiveness and efficiency
- Lead a team of finance professionals in the US, offering hands-on support and guidance for all finance-related activities, including daily operations
- Ensure the timely and accurate completion of monthly financial reporting and performance analysis
- Assist in the preparation of the annual budget and re-forecasting activities
- Support treasury functions, including effective cash management
- Drive initiatives aimed at enhancing financial controls and corporate governance within US operations
- Provide prompt financial advice to business partners and coordinate with auditors and tax consultants regarding audit and tax issues
- Work with an external property management firm to ensure accurate financial reporting and compliance with relevant standards
- Oversee the annual group audit and local audit processes to ensure timely and accurate reporting
Preferred Qualifications
- BA in Accounting
- Certified Public Accountant (CPA) preferred
- Extensive knowledge from prior working experiences in the real estate industry
- 10+ years of relevant accounting and/or audit experience, with at least 5 years in a managerial capacity
- Proficient in SAP and savvy with other software
- Understanding of US GAAP, IFRS, and other accounting regulatory requirements