Our Orange County client is a renowned real estate firm that is building out their financial analytics and data team. We are looking for a candidate with 1-4 years of experience who can build budgets from scratch, build Excel models from scratch, and help with the tech stack. The ideal person here is going to be creative and can think on their feet. This position will have a reporting line directly to the CFO and will be in office 5 days a week.
Job Duties:
- Work cross-functionally with CFO, Treasurer, and Controller on designing, implementing, and improving reporting templates, forecasts, models, and dashboards for all company portfolio activity.
- Develop financial, operational, and performance metrics for the company.
- Analysis of financials, company used models, and special reporting.
- Build and improve forecast models, variance models, and KPI’s.
- Automate processes and improve existing processes to streamline efficiency.
- Help with risk management projects, portfolio valuation analysis, capital budgeting, and much more.
- Analyze and manipulate data for custom reporting processes.
- Provide analysis and insight for revenue generating and cost saving opportunity throughout the organization.
Requirements:
- Bachelor's degree in accounting, finance, or Economics required
- Big 4 or public accounting experience is a huge plus
- 1 years of public accounting or FP&A experience.
- Excellent Excel skills.
- Tableau, Power BI or VBA is a plus
- Strong numeracy and analytical skills.
Compensation goes up to $100k base + benefits + much more.