Position Overview
We're looking for a finance professional eager to immerse themselves in all facets of real estate financial operations. This is a unique opportunity to collaborate with a performance-driven team that values innovation, continuous improvement, and individual expertise across disciplines.
Primary Duties & Scope of Work
Manage end-to-end financial responsibilities for a designated set of real estate assets.
Coordinate and lead the annual audit process, acting as the main point of contact for external audit partners.
Compile and analyze periodic financial results, including variance commentary and internal management reports.
Assist in the creation of investor communications on a quarterly basis.
Ensure accuracy and integrity of the general ledger for multiple corporate entities and investment holdings.
Oversee monthly close procedures, including detailed review of ledger entries and reconciliation of subledgers and supporting schedules.
Analyze and verify recurring journal entries related to transactions such as acquisitions/dispositions, financing activity, tax payments, and intercompany dealings.
Validate accounting treatment and postings related to new asset purchases, financing events, and capital transactions.
Supervise reconciliations of all key accounts, including bank statements and company credit cards.
Oversee receivables: process incoming funds, generate intercompany billing, and monitor tenant-related financial activity.
Champion the adoption of new accounting standards and support optimization initiatives within financial processes.
Collaborate with internal stakeholders on special initiatives and cross-functional projects.
Submit indirect tax filings within required government deadlines across all relevant entities.
What We're Looking For
A post-secondary degree in finance, accounting, or a related discipline.
Professional designation (CPA or equivalent) and 5+ years of relevant experience, ideally in public practice or corporate accounting.
Strong grasp of IFRS standards and highly proficient in Excel and financial modeling.
Someone who thrives in dynamic environments and can juggle multiple deadlines and priorities effectively.
Demonstrated ability to work independently with a high degree of accountability and attention to detail.
Skilled in interpreting complex financial scenarios and translating them into clear, concise reporting for stakeholders