Financial Analyst, Equity

at  Cameron Stephens Mortgage Capital

Toronto, ON, Canada -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate31 Jan, 2025Not Specified31 Oct, 2024N/AGood communication skillsNoNo
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Description:

WHERE WE COMMIT TO HIRE THE BEST AND SUPPORT OUR PEOPLE TO BE THEIR BEST.

We are Cameron Stephens, a leading, Canadian commercial real estate investment manager, with a proven track-record of partnering with borrowers and developers to offer investors consistent and attractive risk-adjusted returns. Built on a foundation of vision, integrity, and a commitment to excellence, the firm provides innovative debt and equity financing solutions for residential and commercial projects across Ontario, Alberta, and British Columbia.
With a 20-year track record of success, Cameron Stephens combines deep market expertise with rigorous underwriting to deliver stable, reliable returns for investors, shaping the future of real estate investment.

We are seeking an Financial Analyst, Equity to join our Equity Capital team. Reporting to the Director, Equity Finance within the Equity Capital team, the Analyst will perform corporate level accounting activities while also assisting with financial analyses to support development projects. More specifically, the key responsibilities of the Analyst include but are not limited to:

  • Refine policies and procedures for the administration of development projects, ensuring consistency across the platform to constantly improve best practices.
  • Subject matter expert with respect to supporting system enhancements.
  • Financial accounting, HST filing, analysis, payables, and bank account maintenance for the various Equity Capital entities.
  • Assist with building and maintaining financial models to evaluate operating and financial equity valuation
  • Manage contracts, invoices, purchase orders, change orders and project budgets while complying to project specific workflows.
  • Generate variance, cost-to-complete, project performance reports.
  • Participate in monthly project cost/contract review meetings.
  • Assist as required with the preparation of costs to complete budgets.
  • Provide underwriting support for new opportunities as required.
  • Must be familiar with construction draw process and able to execute on completing a monthly draw.
  • Ensure our projects are compliant with the Construction Act.
  • Working with development leads, develop and deliver key reports.
  • Liaise with Investors and Developers throughout projects, including delivery of deal closing documentation, Issuance and delivery of Quarterly Account Statements, Issuance of Capital Calls, Issuance and delivery of Trade Confirmations at close.
  • Audit prep and liaising with auditors.
  • Support the Equity Capital team as required including actively contributing to improving processes and participate in ad-hoc projects for the ongoing advancement of the team.

Responsibilities:

  • Refine policies and procedures for the administration of development projects, ensuring consistency across the platform to constantly improve best practices.
  • Subject matter expert with respect to supporting system enhancements.
  • Financial accounting, HST filing, analysis, payables, and bank account maintenance for the various Equity Capital entities.
  • Assist with building and maintaining financial models to evaluate operating and financial equity valuation
  • Manage contracts, invoices, purchase orders, change orders and project budgets while complying to project specific workflows.
  • Generate variance, cost-to-complete, project performance reports.
  • Participate in monthly project cost/contract review meetings.
  • Assist as required with the preparation of costs to complete budgets.
  • Provide underwriting support for new opportunities as required.
  • Must be familiar with construction draw process and able to execute on completing a monthly draw.
  • Ensure our projects are compliant with the Construction Act.
  • Working with development leads, develop and deliver key reports.
  • Liaise with Investors and Developers throughout projects, including delivery of deal closing documentation, Issuance and delivery of Quarterly Account Statements, Issuance of Capital Calls, Issuance and delivery of Trade Confirmations at close.
  • Audit prep and liaising with auditors.
  • Support the Equity Capital team as required including actively contributing to improving processes and participate in ad-hoc projects for the ongoing advancement of the team


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Accounting finance business or other related discipline with a chartered professional accountant (cpa designation or working towards being designated

Proficient

1

Toronto, ON, Canada