Vice President, Finance
Listed on 2026-07-28
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Finance & Banking
Corporate Finance, Financial Manager, VP/Director of Finance, Financial Analyst
Position Summary
Vice President of Finance serves as the senior finance leader responsible for enterprise financial planning, strategic finance, performance management, capital allocation, corporate governance, and executive decision support for Related Ross. This executive partners closely with senior leadership to develop financial strategy, optimize capital deployment, drive operational performance, and support the continued growth of the platform. The role oversees budgeting, forecasting, liquidity management, executive reporting, financial modeling, corporate policies, and finance team leadership while serving as a trusted advisor to executive leadership.
ResponsibilitiesPosition Summary
Vice President of Finance serves as the senior finance leader responsible for enterprise financial planning, strategic finance, performance management, capital allocation, corporate governance, and executive decision support for Related Ross. This executive partners closely with senior leadership to develop financial strategy, optimize capital deployment, drive operational performance, and support the continued growth of the platform. The role oversees budgeting, forecasting, liquidity management, executive reporting, financial modeling, corporate policies, and finance team leadership while serving as a trusted advisor to executive leadership.
StrategicFinancial Leadership
- Partner with CFO to lead all corporate financial planning activities for Related Ross.
- Develop annual operating budgets, multi-year business plans, and long-range strategic forecasts.
- Partner with executive leadership to evaluate strategic initiatives, acquisitions, dispositions, capital investments, and business opportunities.
- Serve as a trusted financial advisor by providing meaningful analysis, recommendations, and decision support.
- Develop financial strategies that maximize profitability, liquidity, and long-term value.
- Lead preparation of annual budgets, quarterly forecasts, and five-year strategic plans.
- Develop sophisticated financial models to evaluate business performance, operational initiatives, and investment decisions.
- Oversee monthly, quarterly, and annual financial reporting, including budget-to-actual variance analysis, KPI reporting, cash flow forecasts, and executive dashboards.
- Identify financial risks and opportunities while recommending strategies to improve operating performance and cash flow.
- Lead preparation of executive presentations for senior management and ownership.
- Prepare capital deployment analyses across development projects, acquisitions, operating assets, and corporate initiatives for CFO and executive review.
- Develop scenario analyses to support strategic capital allocation decisions.
- Analyze investment opportunities, capital structures, financing alternatives, and expected returns, and summarize findings for leadership.
- Assess liquidity impacts of proposed capital deployment and flag considerations for CFO review.
- Support due diligence and financial analysis for acquisitions, dispositions, joint ventures, recapitalizations, and other corporate transactions.
- Oversee platform-wide cash flow forecasting across development, operations, and corporate entities.
- Monitor liquidity requirements and working capital needs.
- Collaborate with Development, Operations, Accounting, and Treasury to improve forecasting accuracy and capital planning.
- Analyze financing needs and support debt management and refinancing initiatives.
- Lead financial analysis for strategic initiatives, acquisitions, dispositions, and corporate transactions.
- Develop sensitivity analyses around capital structures, financing alternatives, and market conditions.
- Partner with Development and Asset Management to assess financial risks and opportunities.
- Provide data-driven recommendations supporting long-term strategic planning and value creation.
- Perform complex ad hoc analyses influencing executive decision-making.
- Support debt financings, refinancings, recapitalizations, and capital markets initiatives.
- Coordinate lender and investor reporting packages.
- Monitor debt covenant compliance and financing obligations.
- Evaluate financing alternatives and their impact on liquidity and leverage.
- Assist with lender presentations, financing packages, investor reporting, and capital markets activities.
- Oversee governance of management fees, development fees, overhead allocations, guarantees, and intercompany transactions.
- Develop and maintain financial policies, procedures, and internal controls.
- Lead continuous improvement initiatives for reporting, forecasting, and business processes.
- Ensure consistency and accuracy across financial reporting.
- Prepare financial analyses and presentation materials supporting executive leadership, Board meetings, and Investment Committee…
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