Nashville, TN30+ days ago
The candidate should have: Experience in financial modeling and strong proficiency in Excel Experience in corporate finance, FP&A, or investment analysis Exposure to REITs, real estate, and publicly traded companies are a large plus Experience preparing Board and investor-facing materials Knowledge and interest in valuation, cost of capital, risk / return trade-offs and GAAP accounting concepts Ability to track peer companies including financial metrics and trends Interest and aptitude to utilize tech-enabled analytical tools Ability to operate in a fast-paced, dynamic environment with high attention to detail Expertise in Microsoft Excel and PowerPoint. Core responsibilities include supporting efforts with the Corporate Model, updating monthly schedules and analyses related to corporate-level financial results, preparing Board materials and monthly presentations, forecasting / budgeting and other ad-hoc analyses.