A diverse real estate company is seeking an Analyst in FP&A and Treasury to support financial modeling, budgeting, and cash management. The role involves improving daily treasury operations while also engaging in financial planning and analysis tasks. Ideal candidates are analytical professionals with strong Excel skills and an ability to collaborate effectively. The position offers competitive compensation, a bonus, and a comprehensive benefits package, emphasizing community revitalization and teamwork.
Qualifications
2–5 years of experience in FP&A, Treasury or Corporate Finance.
Advanced Excel proficiency with financial modeling.
Experience with data visualization tools preferred.
Responsibilities
Build and maintain detailed financial models for business units.
Assist in managing annual budgeting processes across departments.
Prepare and analyze monthly budget-to-actual reports.
Skills
Financial modeling
Analytical skills
SQL
Presentation skills
Attention to detail
Education
Bachelor’s degree in finance, accounting, economics, or related field
Tools
Excel
Tableau
Job description
A diverse real estate company is seeking an Analyst in FP&A and Treasury to support financial modeling, budgeting, and cash management. The role involves improving daily treasury operations while also engaging in financial planning and analysis tasks. Ideal candidates are analytical professionals with strong Excel skills and an ability to collaborate effectively. The position offers competitive compensation, a bonus, and a comprehensive benefits package, emphasizing community revitalization and teamwork.