SVP Revenue & Asset Management
Listed on 2026-05-21
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Finance & Banking
Financial Manager, Corporate Finance, Portfolio Manager -
Management
Financial Manager, Portfolio Manager
WHY HILLPOINTE?
Hillpointe is a fully integrated real estate development and investment management firm focused on developing market-rate workforce housing across the Sun Belt. Ranked at the top of NMHC's list of Builders and Developers, our team ensures best-in-class execution. Built on its long and proven track record of real estate development, the firm’s investment approach is centered around its in-house general contracting expertise, enabling direct control of cost and delivery timeframe.
For each project, Hillpointe directly controls land acquisition, land development, construction, procurement of building materials, asset management, and capital markets. This is more than just a job - it s a career-defining opportunity! At Hillpointe, you ll be part of a dynamic, innovative team that has tangible impacts on day-to-day operations and contributes directly to overall success.
SVP, Revenue & Asset Management
The SVP, Revenue & Asset Management is the economic performance owner of Hillpointe’s multifamily portfolio. This role holds full responsibility for pricing strategy, lease-up pricing and concessions strategy, budgeting, forecasting, tax strategy, operating-phase capital planning, and financial performance across Hillpointe’s multifamily portfolio.
This role assumes economic leadership of each asset upon transition from development to pre-leasing and operations. While construction budgeting and development draw management remain under the purview of the Development team, this leader owns the financial performance of each asset from pre-leasing through stabilization and ongoing operations. From that point forward, this leader owns asset-level economic outcomes, including lease-up and stabilization economics, rent strategy, renewal pricing, concession posture, forward cash flow forecasting, real estate tax appeal oversight, operating reserve management, and distribution recommendations.
Investor reporting and lender covenant management remain under the purview of the CFO and Debt Capital Markets team; this role provides operating projections, performance inputs, and valuation assumptions to support those processes.
The mandate for the role is to drive portfolio-level revenue growth and disciplined operating expense control across the portfolio, with an ultimate focus on increasing asset value and preparing assets for monetization events.
Key Responsibilities- Set all new lease and renewal pricing across the portfolio.
- Control concession strategy and effective rent positioning.
- Establish pre-delivery rent grids aligned with underwriting targets.
- Own lease-up and stabilization economics from certificate of occupancy through stabilization.
- Set absorption pacing targets in coordination with Managing Partners.
- Identify performance gaps and adjust pricing and concession posture accordingly.
- Monitor and manage loss-to-lease, trade-out, and exposure to maximize realized rent across the portfolio.
- Drive ancillary income strategy across the portfolio, including evaluating billing performance on existing programs (RUBS, parking, pet, storage, smart home, and similar) and recommending programs to add or eliminate to maximize total revenue.
- Financial Governance & Expense Discipline
- Drive portfolio-level revenue growth and disciplined operating expense control.
- Review, challenge, and finalize all property-level budgets prior to Managing Partner approval.
- Enforce payroll discipline by holding operations accountable to approved staffing models and cost-per-unit targets.
- Enforce marketing spend discipline by evaluating cost-per-lease performance and adherence to approved budgets.
- Monitor and drive continuous improvement in unit turn costs and other major controllable expense categories.
- Enforce accountability standards across the portfolio while reinforcing One Hillpointe culture.
- Update underwriting for each asset quarterly.
- Maintain rolling forward cash flow forecasts for every asset, including a 12-month forward monthly forecast and a 5-year forward annual forecast.
- Oversee operating-phase capital planning, including start-up marketing budgets, operational deficit reserves, and monitoring of interest reserves.
- Ensure…
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