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Jobs Search
Start Date
Immediate
Expiry Date
30 Mar, 25
Salary
0.0
Posted On
21 Feb, 25
Experience
0 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Real Estate Development, Microsoft Excel, Construction, Sage, Interpersonal Skills, Decision Making, Financial Analysis
Industry
Financial Services
ABOUT OLDSTREET
Oldstreet is not your typical real estate developer. We are a boutique, vertically integrated company that blends passion, creativity, and fresh thinking into everything we do. Founded in 2018, we are focused on building better homes, better communities, and a better Calgary—and we’re only getting started.
To date, Oldstreet has successfully built or is in the process of developing 258+ homes across 15+ projects in Calgary, Banff, and Costa Rica. Our assets under development, construction, and management exceed $115 million, and we’re actively expanding both locally and abroad. We’re a young, growing company with bold ambitions—and we are looking for top-tier talent to help us achieve them.
As a small but actively growing team, every person’s contributions are visible, valued, and crucial to our success. If you’re looking to be a core member of a growing company that is dynamic, ambitious, and doing exciting work, we would love to meet you.
REQUIREMENTS
· CPA certification and 5+ years of experience in financial management, ideally within real estate development or construction.
· Proven leadership ability with a track record of motivating and managing teams.
· Strong understanding of accounting principles, financial analysis, and strategic decision-making.
· Excellent communication and interpersonal skills to work effectively with senior management and external stakeholders.
· Proficiency in financial software (Sage preferred) and Microsoft Excel.
THE ROLE
As Financial Controller, you will oversee all aspects of financial management across Oldstreet’s projects and entities, including financial reporting, budgeting, forecasting, and internal controls. You will play a key role in supporting our growth by maintaining strong financial foundations. While we are a dynamic, growing company, we are committed to maintaining a well-organized, professional environment with solid systems and controls in place. Our accounting team values structure, efficiency, and clear processes.
KEY RESPONSIBILITIES
· Oversee the preparation and analysis of financial statements for all Oldstreet entities and underlying projects, including balance sheets, income statements, and cash flow statements
· Manage the budgeting and forecasting processes for Oldstreet and underlying projects to develop accurate and achievable financial plans and project budgets.
· Monitor financial performance against budget and forecast, identifying variances and providing insights to support decision-making.
· Work with external stakeholders such as lenders, quantity surveyors and accountants
· Establish and maintain effective internal controls to ensure compliance with accounting standards and regulatory requirements.
· Manage cash flow and working capital across multiple entities effectively to support operational needs and strategic initiatives.
· Coordinate the annual year-end process, serving as the primary liaison with external accountants and ensuring timely completion of year-end deliverables.
· Develop and implement financial policies and procedures to improve efficiency, accuracy, and transparency in financial reporting.
· Provide strategic financial guidance to senior management, offering insights and recommendations to drive business growth and profitability.
· Conduct financial analysis to assess business performance, identify trends, and highlight areas for improvement.
· Stay informed about changes in accounting regulations and industry standards, ensuring compliance and best practices.
· Support special projects and initiatives as assigned by senior management, leveraging financial expertise to achieve organizational goals.