27 Aug
|
Starlight Investments
|
Toronto
27 Aug
Starlight Investments
Toronto
Location
Head Office
Overview
Reporting to the Manager, Finance, the Senior Financial Analyst will be a key member a finance team that oversees both Canadian and U.S residential portfolio and responsible for financial management, reporting and accounting for various portfolios that are publicly listed.
The role is a critical anchor for our publicly listed funds acting as the first line of defense in the accuracy, completeness and timeliness of public reporting documents. Given the exposure to our public entities, the role has high visibility to senior executives and finance leadership associated with each fund.
The role also oversees the accounting and internal reporting for such funds and as a result, acts as a key business partner to the asset management, investments and leasing teams to help provide insightful, timely and accurate financial and operational information to assist with optimizing decisions surrounding the operation of the properties which ultimately allows Starlight to maximize returns for our investors.
As part of Starlight’s commitment to innovation, the successful candidate will embrace artificial intelligence (AI) and emerging technologies as core tools of the modern finance professional — proactively applying them to work smarter and elevate quality, and helping colleagues adopt them so the team stays ahead of the rapid changes reshaping the profession.
Duties and Responsibilities
Investor Reporting and Financial Reporting
- Responsible for initial drafting IFRS financial statements, MD&A;, and other public disclosures for TSX and TSXV listed entities focused on accuracy, completeness and efficiency in drafting process.
- Ownership of review process internally of public documents through each quarter-end reporting cycle.
- Management of Workiva software to draft financials, including roll-forward of financial files and updates to standard reporting models.
Financial Accounting
- Oversee completion of month-end close ensuring accuracy,
timeliness and completeness of financial results for multiple listed funds and other funds, as required.
- Ensure supporting documentation in place for all ledgers to support internal and external disclosures and reporting.
- Maintain General Ledger and other support for full monthly financial close, including journal entries and analysis as required to ensure the integrity of financial and operational information.
- Manage and assist with audit process for funds, as well as support quarterly/year-end reviews as required
- Manage process improvement projects to streamline accounting processes, as required.
Financial Analysis
- Review and analyze monthly reporting for your funds to understand key variances and communicate to internal stakeholders (primarily senior management and asset management team) for each property including ensuring commentary reflects the underlying performance of the assets and is complete and accurate. Ensure technology tools reflect the right outputs to internal stakeholders by partnering with other internal departments.
- Assist with the review of budgets and analysis for budget inputs for the properties as part of each annual budgeting cycle for your funds.
- Assist with other financial management initiatives or ad-hoc projects, as required.
Transaction support (Acquisitions, Dispositions, Financing, etc.)
- Provide support on financial aspects of property acquisitions, dispositions, and property financing activities, as required.
- Assist with other business transactions to provide financial support, as required.
- Perform acquisition, disposition and refinancing accounting.
Cash and Debt Management
- Assisting with the management of cash availability,
including review of cash position reporting prepared by the Starlight shared service treasury team to ensure accurate cash reporting and forecasting
- Assisting with the management of the partnership’s debt portfolios, including ensuring all loan provisions are appropriately complied with and any covenant reporting is accurate, timely and complete
AI and Technology Adoption
- Act as an early adopter and role model for AI and automation within the team, treating these tools as a core part of how work gets done
- Proactively apply approved AI tools to enhance the efficiency and quality of accounting, analysis and reporting workflows, and help turn those gains into repeatable processes
- Identify, test and help implement AI-enabled process improvements, sharing learnings with peers and more junior staff.
- Apply strong professional judgment to review and validate AI-assisted output, safeguarding accuracy, data integrity and compliance.
Requirements
- 2 – 4 years of accounting / financial reporting experience, preferably in real estate
- CPA required, or in final stages of receipt of CPA
- University degree in accounting / finance
- Public reporting experience (either CPA firm, or industry) required
- Thorough understanding of accounting principles (IFRS, ASPE)
- Moderate Microsoft Excel skills, ERP/Yardi experience an asset but not required
- Knowledge of Workiva software a strong asset
- Knowledge of AI prompts, array of AI technologies available and systems data structure (inputs/outputs) as well as demonstrated ability to implement AI or technology into process a strong asset
- Excellent written and verbal communication skills and strong inter-personal skills preferred
- Solid organizational, analytical and time management skills
- Detail oriented, self-motivated / proactive and resourceful with demonstrated ability to work independently and as part of a team
- Able to prioritize, multi-task and able to work in a changing, fast-paced environment and under pressure
📌 Senior Financial Analyst (Toronto)
🏢 Starlight Investments
📍 Toronto