Sr. Analyst, Financial Planning & Analysis

Concert Properties Ltd.

$80K — $95K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Post-secondary degree in business, accounting, real estate, economics, or finance
  • 2 to 5 years experience in FP&A, corporate finance, or related field
  • Understanding of budgeting, forecasting, and variance analysis
  • Advanced skills in analytical and financial modeling
  • Strong attention to detail and organizational skills
  • Excellent written and verbal communication skills
  • Real estate experience and CPA/CFA designation considered assets

Responsibilities

  • Manage company-wide quarterly budgeting and forecasting processes
  • Prepare financial forecasting models for business planning and scenario analysis
  • Monitor and report financial performance of income-producing properties
  • Lead preparation of quarterly portfolio-level reporting packages
  • Maintain property-level dashboards for operational performance reporting
  • Coordinate reporting between IPP Accounting and Asset Management
  • Assist with debt valuations and treasury/cash management

Benefits

  • Opportunity to be part of a dynamic Corporate Accounting department
  • Engagement with diverse departments across the company
  • Exposure to portfolio-level reporting and analytics
  • Involvement in strategic decision-making processes
  • Potential for career advancement within FP&A and related teams
Full Job Description
Position Summary

The Senior Analyst, Financial Planning & Analysis (FP&A) will be part of the Corporate Accounting department in Vancouver, BC and report to the Director, FP&A. This position will be involved in budgeting and forecasting, financial modeling, and the delivery of portfolio performance reporting, analytics, and financial insights to support operational and strategic decision-making.

Key Responsibilities

1. Budgeting and forecasting:
  • Support, and over time assume responsibility for the management of, the company-wide quarterly budgeting, forecasting, and long-range business planning processes, including coordination with other departments and consolidation of assumptions/inputs
  • Prepare and maintain financial forecasting models to support business planning, scenario analysis, investment decisions, and strategic initiatives


2. Portfolio reporting & analytics:
  • Analyze, monitor, and report the financial performance of all income producing properties, including the performance of Concert Income Properties LP, in comparison to market statistics and industry benchmarks
  • Lead the preparation of internal quarterly portfolio-level reporting packages, which includes income and return analytics, variance analysis, debt and leasing metrics, and other key performance indicators
  • Maintain property-level dashboards used by Asset Management as part of property operational performance reporting and strategic planning
  • Serve as a liaison between IPP Accounting and Asset Management teams to coordinate portfolio reporting, ensure data integrity, and deliver timely and accurate financial and operational insight
  • Assist driving reporting systems and process improvements, automation, and standardization of portfolio reporting


3. Valuation, Treasury, & Portfolio Support: Other responsibilities may also include assisting with various other activities, analyses, and presentations in support of the FP&A team and its required functions such as:
  • Debt mark-to-market valuations, external valuations of income producing properties assets, and property tax assessments
  • Portfolio modelling
  • Treasury/cash management and financing


Please note this is a general description of the tasks and skills required. Additional responsibilities and duties may be required to successfully perform this role.

Required Knowledge & Skills

  • Post-secondary diploma or degree in business, accounting, real estate, economics, or finance
  • Minimum of 2 to 5 years of progressive experience in FP&A, corporate finance, accounting, investment analysis, portfolio management, or a related analytical role
  • Demonstrated understanding of budgeting/forecasting, variance analysis, financial statements, and business performance measurement
  • Advanced analytical and financial modeling skills
  • Strong attention to detail, organizational skills, and ability to manage multiple priorities under tight deadlines
  • Highly developed written and verbal communication skills
  • The following is considered an asset, but is not required:
  • Real estate experience (income producing properties and/or development)
  • CPA, CFA, or other relevant designation
  • Understanding real estate valuation, including discounted cash flow models
  • Experience with Yardi, Argus, and/or business intelligence tools


Please note this is a general description of the tasks and skills required. Additional responsibilities and duties may be required to successfully perform this role.

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