
Piru Group, based in Albuquerque, New Mexico, operates across the Southwestern region, offering comprehensive services in property management, acquisition, renovation, and rental. The company is committed to delivering exceptional service and tailored solutions to meet the unique needs of clients. Its dedicated team focuses on enhancing community living and fostering sustainable growth in real estate.
Role Description
We are seeking a highly skilled and detail-orientedReal Estate Financial Analystto join our dynamic team. This role offers the opportunity to leverage advanced financial analysis, modeling, and business intelligence tools to support strategic decision-making in real estate investments and portfolio management. The ideal candidate will possess strong financial acumen, proficiency in data visualization and reporting software, and a solid understanding of corporate finance principles. This position is integral to driving data-driven insights that influence investment strategies and operational efficiencies within our organization.
THIS IS A IN OFFICE POSITION LOCATED IN ALBUQUERQUE, NM NOT A REMOTE POSITION
Responsibilities
Conduct comprehensive financial analysis related to real estate investments, including cash flow analysis, profit & loss assessments, and forecasting models. Develop and maintain complex financial models using Microsoft Excel, VBA, Pivot tables, and other advanced Excel functions. Utilize business intelligence tools such as Tableau, Power BI, Bloomberg, and Hyperion to visualize data trends and generate insightful reports. Collect, organize, and analyze large datasets from various sources including ERP systems, governmental accounting records, and financial software platforms. Prepare detailed financial reports and presentations for internal stakeholders and external partners, emphasizing strategic planning and investment opportunities. Support budgeting processes, cost accounting initiatives, and strategic planning efforts through quantitative research and analysis. Collaborate with cross-functional teams on business analysis projects related to real estate portfolios, market trends, and financial planning. Monitor industry developments in corporate finance, governmental accounting standards, and real estate market dynamics to inform analytical approaches. Assist in the evaluation of investment opportunities by performing quantitative research and risk assessments using financial concepts such as ROI, IRR, NPV, and cash flow projections. Experience
Bachelor’s degree in Finance, Accounting, Economics, or a related field; Master’s degree or CFA designation preferred. Proven experience in financial analysis within real estate or corporate finance sectors. Extensive proficiency with Microsoft Excel (including Pivot tables, VBA), Tableau or Power BI for data visualization, SQL for data collection queries, and Bloomberg terminal usage. Familiarity with ERP systems such as Hyperion or similar enterprise resource planning software. Strong understanding of financial concepts including budgeting, forecasting, financial modeling, profit & loss statements, cost accounting, and strategic planning. Experience with financial report writing and presenting complex data insights clearly to diverse audiences. Knowledge of governmental accounting standards is a plus; experience in investment banking or corporate finance is highly desirable. This role offers a challenging environment where analytical expertise meets strategic insight—ideal for professionals passionate about leveraging data to shape successful real estate investments.
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Conduct comprehensive financial analysis related to real estate investments, including cash flow analysis, profit & loss assessments, and forecasting models. Develop and maintain complex financial models using Microsoft Excel, VBA, Pivot tables, and other advanced Excel functions. Utilize business intelligence tools such as Tableau, Power BI, Bloomberg, and Hyperion to visualize data trends and generate insightful reports. Collect, organize, and analyze large datasets from various sources including ERP systems, governmental accounting records, and financial software platforms. Prepare detailed financial reports and presentations for internal stakeholders and external partners, emphasizing strategic planning and investment opportunities. Support budgeting processes, cost accounting initiatives, and strategic planning efforts through quantitative research and analysis. Collaborate with cross-functional teams on business analysis projects related to real estate portfolios, market trends, and financial planning. Monitor industry developments in corporate finance, governmental accounting standards, and real estate market dynamics to inform analytical approaches. Assist in the evaluation of investment opportunities by performing quantitative research and risk assessments using financial concepts such as ROI, IRR, NPV, and cash flow projections. Experience
Bachelor’s degree in Finance, Accounting, Economics, or a related field; Master’s degree or CFA designation preferred. Proven experience in financial analysis within real estate or corporate finance sectors. Extensive proficiency with Microsoft Excel (including Pivot tables, VBA), Tableau or Power BI for data visualization, SQL for data collection queries, and Bloomberg terminal usage. Familiarity with ERP systems such as Hyperion or similar enterprise resource planning software. Strong understanding of financial concepts including budgeting, forecasting, financial modeling, profit & loss statements, cost accounting, and strategic planning. Experience with financial report writing and presenting complex data insights clearly to diverse audiences. Knowledge of governmental accounting standards is a plus; experience in investment banking or corporate finance is highly desirable. This role offers a challenging environment where analytical expertise meets strategic insight—ideal for professionals passionate about leveraging data to shape successful real estate investments.
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