Financial Planning & Analysis Analyst
Listed on 2026-02-16
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Finance & Banking
Financial Analyst, Corporate Finance -
Business
Financial Analyst
Posted Wednesday, January 28, 2026 at 5:00 AM
L+M Development Partners Inc., a well-established and rapidly growing residential developer, builder, and manager, has an excellent opportunity for an FP&A Analyst who will report to the Manager of FP&A. The FP&A Analyst will be responsible for supporting the building and oversight of processes related to budgeting, forecasting, and reporting to company management and ownership. This role is expected to understand all the underlying drivers of the company’s P&L and be to present company performance versus budget clearly and concisely and produce deliverables at an institutional level of quality.
The FP&A Analyst will collaborate with and provide operational support to departments across the company as they seek guidance in providing key data and in making day-to-day decisions in running their businesses.
At L+M Development Partners, working together to build stronger communities is our mission. Our double bottom line philosophy means that we measure success not only in financial returns but also by the positive impacts we make in the communities we serve.
Founded in 1984, L+M is a full-service real estate development firm that develops, invests, constructs, and manages properties with industry-leading innovation in a variety of urban markets nationwide, primarily in the New York Tristate Area. Recognized as one of the top affordable housing developers in the country, L+M and its affiliate companies are responsible for approximately $20 billion in development and investment, and combined have over 57,000 high-quality residential units in construction or that have been acquired, preserved, or completed.
Please visit our website for more information: .To learn more about our mission and values, go to
Areas of Responsibilities &Job Requirements:
Budgeting:
- Support the company’s annual corporate budgeting process:
- Assist updating the corporate budget model detailing all revenues and expenses by department, complete with corporate allocations
- Work with department heads to gather key annual budget data, with a focus on efficiency and a service-oriented approach
- Build supporting schedules and analyses detailing year-over-year trends with key takeaways for executive leadership and investors
- Assist with the quarterly process for tracking and reporting actual results to departments and soliciting feedback thereof
- Support the quarterly reforecast by analyzing actuals and partnering with departments to project the remaining year’s results
- Assist in refining and building upon the company’s corporate forecast model:
- Assist in constructing a dynamic model to forecast all revenues and expenses on both an accrual and cash basis
- Enhance the 3‑statement model so it dynamically integrates with the corporate forecast model
- Create dashboards and other model output complete with relevant metrics and KPIs useful to department heads in making key business decisions
- Collaborate with department heads and other key stakeholders to gather inputs and assumptions both periodically and in real time as needed
- Assist with “corporate underwriting”:
- Determine financial impact of new deals and investment strategies from a corporate point of view.
- Work with stakeholders across the company to gather inputs and assumptions
- Maintain the quarterly management report and quarterly board report:
- Collaborate with senior management to determine key information needed to convey in reports
- Drive monthly/quarterly process for gathering key information to include in report; ensure consistency in approach across sources and departments
- Build out new lender reporting process and effectively manage deliverables populated by other departments
- Perform and maintain ad hoc analyses including but not limited to deal / department profitability, capital inflows/outflows, and contingent liabilities
- Maintain list of corporately owned investments and entities, and coordinate with other internal teams to ensure ownership is correctly reflected in our systems
- Create investor/lender decks, deal case studies and other presentation materials, and assist with ad hoc investor/lender information requests
- Perform…
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