Company

Mirvac GroupSee more

addressAddressSydney, NSW
CategoryAccounting & Finance

Job description

Mirvac's people are our most valuable asset. We are proud to have built a culture of inclusivity, innovation and collaboration, becoming a place where people genuinely want to work. Two recent accolades to reflect this are:

  • #1 in AFR BOSS' Best Places to Work in Property, Construction & Transport 2022
  • #1 Company Globally for Gender Equality in Equileap's 2022 & 2023 Review

We also offer a number of competitive and unique benefits for permanent employees including:

  • Flexible Work Arrangements
  • $1000 of Mirvac Securities Annually
  • Leadership and Professional Development Programs
  • Generous Parental & Partner Leave Policy
  • Unlimited Volunteer Leave and National Community Day
  • Mirvac Pride Committee

Mirvac is an Australian property group with a clearly defined purpose to 'reimagine urban life'. For over 50 years, we've dedicated ourselves to shaping Australia's urban landscape. Our evolution has been significant, growing from a small joint venture to a thriving ASX-listed property group that leads the way in sustainability, innovation, safety and placemaking.

Our opportunity

As a Commercial Finance Manager, Asset Management - Office, you will be responsible for preparing the financial analysis, reporting, budgeting, forecasting and long-term analytics for a dedicated portfolio of properties. This role is the key business partner to the portfolio management team and will work closely with accounting, property & Asset Management teams, relying on their commercial acumen and the ability to influence financial decisions. The resulting financial information and analysis should be accurate, reflective of current conditions and thus able to inform optimal decision making by the portfolio management team and asset owners.

In this role you will be responsible for:

  • Budget and reforecast - Prepare, coordinate and review forecast and budgets including P&L, capital requirements, internal fees long term forecasts, valuations and returns for dedicated portfolio of properties. Ensure that results are timely, accurate, an provided with insightful commentary. This will be completed in close partnership with the asset and portfolio management teams.
  • Scenario analysis - Undertake analysis for new deals including cashflow forecasting, IRR calculations, variance and sensitivity analysis and valuation impacts, supporting quick decision making. Actively work with portfolio teams in putting forward scenario proposals to achieve the best business outcomes.
  • Various reporting requirements - Coordinate and liaise with portfolio management teams to produce the financial aspects of various reporting requirements including inputs into strategic asset plan documents, budget and quarterly reporting pack, monthly forecast updates, corporate reporting and other adhoc analysis as required
  • Process improvements - Participate in process improvements, reporting enhancements, data optimisation and business change management projects across relevant systems to achieve best business outcomes
  • Collaboration within teams - Work collaboratively with team members and various internal stakeholders to ensure system/data integrity, efficient information flow and promote best practices. Provide assistance and support to the other members of the Asset Management and Asset Management finance teams
  • Valuations - Support the valuations manager in collating information for Valuation packs, perform analysis of key changes from prior valuation (as required) thereby enabling relevant reporting requirements to be met. Liaise and support Investment and Portfolio management teams to review periodic valuations.
  • Acquisitions and divestments - Assist with due diligence associated with on-boarding and off-boarding of properties when required

Your point of difference

  • Bachelor degree in accounting, property, finance or related discipline
  • Post Graduate qualification (CPA / CA / CFA preferred)
  • Prior experience working within a similar environment with demonstrated ability to prepare, analyse and interpret financial metrics and results for a varying group of stakeholders.
  • Strong excel skills, prior experience utilising with Cougar / MRI SP / Anaplan a distinct advantage
  • Knowledge of property markets (Office) with a sound understanding of valuation drivers

All of these attributes are preferred, if you think you may be the right fit for the role please still apply.

Refer code: 2136113. Mirvac Group - The previous day - 2024-05-05 20:52

Mirvac Group

Sydney, NSW
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