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Corporate Finance Manager

Job in Riverview, Hillsborough County, Florida, 33568, USA
Listing for: Casa Fresca Homes
Full Time position
Listed on 2026-05-17
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Homes by West Bay & Casa Fresca Homes offer a new kind of home building experience with a focus on delivering an exceptional homebuilding experience at an outstanding value. Recognized both nationally and regionally for our award-winning new home designs, we offer new single-family homes for sale throughout the finest new communities within the greater Tampa Bay area. Founded in 2009, we have evolved into the largest, privately owned new home builder in the Tampa Bay and Central Florida markets.

Job Summary

Corporate Finance Manager will serve as a key member of the finance leadership team and will support a broad range of corporate finance functions, including treasury, capital raising, financial planning and analysis, land acquisition underwriting, capital allocation, and strategic initiatives. The ideal candidate will bring a strong foundation in investment banking, corporate finance, real estate, homebuilding, or private equity, with the ability to combine rigorous financial analysis with practical business judgment.

This is a high-impact role with direct exposure to senior leadership, capital providers, land acquisition teams, and operating leaders across the business. This position will report directly to the Chief Financial Officer and will work closely with executive leadership, accounting, land acquisition, operations, purchasing, and external capital partners.

Responsibilities
  • Support the CFO in managing the company’s capital structure, liquidity, debt capacity, and financing strategy.
  • Assist with bank relationships, credit facility management, lender reporting, covenant compliance, and capital provider communications.
  • Support debt financing, land banking, joint venture, and other capital raising initiatives.
  • Prepare financial materials for banks, equity partners, board members, shareholders, and other capital providers.
  • Evaluate financing alternatives and provide recommendations on cost of capital, liquidity impact, covenant capacity, and strategic fit.
  • Manage and enhance short-term and long-term cash forecasting processes.
  • Monitor liquidity, borrowing capacity, cash needs, and capital deployment across the business.
  • Support treasury operations, including cash management, revolver activity, letters of credit, interest expense forecasting, and banking relationships.
  • Identify opportunities to improve cash conversion, working capital efficiency, and treasury controls.
  • Lead or support the company’s annual budget, monthly forecasts, long-range planning, and scenario analysis.
  • Partner with operating leaders to evaluate business performance, identify risks and opportunities, and improve forecast accuracy.
  • Develop executive-level reporting packages, KPI dashboards, variance analyses, and financial presentations.
  • Provide financial analysis on revenue, gross margin, SG&A, EBITDA, cash flow, inventory, land spend, and return on capital.
  • Partner with land acquisition and division leadership to underwrite new land deals, community investments, and strategic growth opportunities.
  • Build and review detailed financial models evaluating IRR, gross margin, cash flow, lot takedown structures, absorption, pricing, incentives, and downside scenarios.
  • Assess deal structures including owned land, optioned land, land banking, joint ventures, and phased takedown arrangements.
  • Prepare investment committee materials and help ensure land decisions are supported by disciplined financial analysis
  • Support strategic initiatives, M&A analysis, market expansion opportunities, and operational improvement projects.
  • Conduct market, competitor, and industry analysis to inform capital allocation and growth strategy.
  • Help develop institutional-quality presentations for shareholders, board members, banks, and other key stakeholders.
  • Serve as a thought partner to the CFO on financial strategy, risk management, and business planning.
Requirements
  • Bachelor’s degree in Finance, Accounting, Economics, Real Estate, or a related field; MBA, CFA, preferred but not required.
  • Investment banking experience strongly preferred, ideally as an analyst or associate in real estate, home building, industrials, leveraged finance, M&A, or corporate finance.
  • Strong…
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