Finance Manager Job at Accountants One, Atlanta, GA

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  • Accountants One
  • Atlanta, GA

Job Description

Job Description

The Finance Manager will assist with the financial management, planning, and treasury operations, ensuring strong financial performance, compliance with KPIs, portfolio-level reporting, and treasury management.

This role will play a key part in managing cash flow, debt facilities, and distributions, while also supporting portfolio performance analysis. The Finance Manager will collaborate with senior leadership, deal team members, and the parent company to optimize capital structure and drive long-term value creation.

The Finance Manager will have the opportunity to work in a hybrid work environment, allowing for regularly scheduled in-person working hours with the flexibility of partial remote working.

Financial Strategy and Planning

  • Assist the CFO in the development and management of corporate financial strategy, capital plan, and long-term performance targets.
  • Lead annual budgeting, forecasting, and cash flow planning across the portfolio. This requires becoming familiar with the ARGUS Taliance software currently utilized by the team, as well as gaining intimate familiarity with the financials of the real estate assets within the portfolio
  • Build and maintain financial models to support asset management across the portfolio.

Treasury and Debt Management

  • Assist in treasury operations, including liquidity management, cash flow forecasting, reserves, and distributions as they relate to involvement in the real estate assets in the portfolio
  • Manage equity facility and monitor construction financing, ensuring compliance with capital partners.
  • Monitor and report on loan covenants, compliance requirements, and borrowing capacity.
  • Strengthen internal controls, policies, and procedures to support scalability.

Operational Finance

  • Collaborate with asset management to evaluate property-level results and variance to underwriting.
  • Track and analyze portfolio returns, recommending strategies to maximize value.
  • Alerting executives and the investment teams to potential issues as they arise and recommending solutions.
  • Performing other related duties as required.

QUALIFICATIONS:

  • Bachelor’s degree in finance, Accounting, or related field; CFA or CPA preferred.
  • 5+ years of progressive finance and accounting experience, ideally in private REITs, funds, or private equity real estate.
  • Strong working knowledge of the fundamentals of real estate, including but not limited to asset class familiarity, interpreting accounting and operating reports, and market and demographic information.
  • Strong understanding of GAAP and fund-level accounting.
  • Hands-on experience managing treasury operations, credit facilities, and debt compliance.
  • High proficiency in Microsoft Excel, Microsoft Word, and Microsoft PowerPoint.
  • Strong analytical and quantitative skills.
  • Attention to detail, accuracy, and precision in analytical assessments.
  • Ability to engage in multiple time-sensitive initiatives simultaneously and balance workload.
  • Highly developed written and verbal communication skills.
  • Ability to work under limited supervision and as a team member in a multidisciplinary team.
  • Outstanding organizational and multi-tasking skills.
  • Diligent, hard worker, capable of thriving in a fast-paced environment.

18244

Job Tags

Remote work,

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