Job Description
Job Description
Financial Analyst – Real Estate | Hybrid (Washington, DC)
Are you ready to make your analytical mark in real estate? Join a dynamic team where your experrience in cash forecasting, FP& A, and real estate deal support will drive strategic outcomes and fuel company growth. We are seeking a skilled Financial Analyst to join our DC-based headquarters in a flexible hybrid environment, offering both in-office collaboration and remote work.
Key Responsibilities:
- Consolidated Cash Forecasting & Modeling:
- Develop, maintain, and refine consolidated cash flow models across multiple real estate properties and corporate entities.
- Monitor cash positions, evaluate funding needs, and project variances to support operational and strategic planning.
- Analyze both short- and long-term cash flows, ensuring adequate liquidity and timely identification of funding risks and opportunities.
- FP& A (Financial Planning & Analysis):
- Partner with business leaders to create, manage, and maintain annual budgets, rolling forecasts, and long-term strategic plans.
- Prepare financial reports, dashboards, and key performance analyses for executive management review.
- Deliver actionable insights for revenue growth, cost optimization, and margin improvement across the portfolio.
- Deal Support & Investment Analysis:
- Conduct financial due diligence, pro forma modeling, and sensitivity analyses on real estate acquisition, disposition, and development deals.
- Assist in evaluating and underwriting investment opportunities, participating in deal structuring and presentations.
- Support transaction execution with ad hoc analysis and post-close performance tracking.
- Cross-functional Collaboration:
- Work closely with accounting, asset management, development, and executive teams to synthesize financial data and support business initiatives.
- Build presentations and communicate financial results and recommendations to both finance and non-finance stakeholders.
Qualifications:
- Bachelor’s degree in Finance, Accounting, Business, Economics, or related field.
- New graduate with relevant internships to 3 years of experience specifically in real estate, PE, VC, or IB finance experience preferred.
- Demonstrated expertise in consolidated cash flow modeling and scenario analyses.
- Advanced MS Excel and financial modeling skills; experience with budgeting/reporting software a plus.
- Strong attention to detail, analytical abilities, and business acumen.
- Outstanding written, verbal, and interpersonal communication skills.
- Ability to prioritize and manage multiple projects in a fast-paced environment.
- Interested in building a career in real estate, with a desire to learn and participate in deal flow.
Why Join Us?
- Work directly with experienced real estate and finance leaders on high-impact projects.
- Expand your skill set in FP& A and deal execution, gaining exposure to the full investment life cycle.
- Be part of a collaborative, innovative team in a flexible hybrid setting (DC office).
- Competitive compensation, benefits, and professional growth opportunities.
Bring your passion for numbers and real estate to a team where your work will shape investment decisions and company success. Apply now to accelerate your finance career! For additional questions, please contact Lee Chernett, VP at Robert Half Finance & Accounting, via LinkedIn