FP&A Associate, Real Estate Investments

Bluejack National

Dallas (TX)

On-site

USD 70,000 - 110,000

Full time

2 days ago
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Job summary

Bluejack Management Partners, headquartered in the premier Old Parkland campus, manages private residential clubs and communities with a turnkey residential sales, design, construction and maintenance business. The associate will support the investment team, perform asset management duties and evaluate acquisition opportunities.

The role involves budgeting, cash management, drafting investment memos, extensive cash flow modeling and market research to support decision making across existing

Qualifications

  • 4+ years of experience in three-statement cash flow modeling and financial analysis.
  • Experience in modeling capitalization and refinancing structures.
  • Bachelor’s degree in Business, Finance, Accounting, or related field.

Responsibilities

  • Perform recapitalization and securitization modeling of existing and future investments.
  • Assist in underwriting new investment opportunities; build proforma analyses to assess viability and returns.
  • Draft offering memorandums, internal memorandums, investment committee memos and presentations.
  • Organize and maintain due-diligence documentation; coordinate with seller and legal counsel.
  • Maintain internal reporting tools: monthly reports, dashboards, budgets, proformas.
  • Gather market research for local markets where the firm has investments.

Skills

Cash flow modeling
Three-statement analysis
Capitalization
Financing structures
Financial analysis
MS Office skills
Presentation skills

Education

Bachelor’s degree in Business, Finance, Accounting

Tools

MS Office
Excel
Word
PowerPoint

Job description

Bluejack Management Partners, headquartered in the premier Old Parkland campus, manages private residential clubs and communities with a turnkey residential sales, design, construction and maintenance business. The associate will support the investment team, perform asset management duties and evaluate acquisition opportunities.

The role involves budgeting, cash management, drafting investment memos, extensive cash flow modeling and market research to support decision making across existing

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