Job Openings
Financial Planning & Analysis Manager (FP&A)
About the job Financial Planning & Analysis Manager (FP&A)
The Financial Planning & Analysis (FP&A) Manager is responsible for providing strategic financial insights, planning support, and performance analysis for a real estate development organization. The role partners closely with business, operations, and project teams to ensure strong financial discipline, accurate forecasting, and data-driven decision-making across multiple development projects.
This role plays a critical part in budgeting, forecasting, project profitability tracking, and long-term financial planning for land acquisition, construction, and sales cycles.
Key Responsibilities
Financial Planning & Budgeting
- Lead annual budgeting and long-term financial planning processes across business units and real estate projects.
- Develop financial models to support land acquisition, project development, construction, and sales projections.
- Consolidate budgets and ensure alignment with corporate financial objectives.
Forecasting & Performance Analysis
- Prepare monthly, quarterly, and annual financial forecasts.
- Monitor actual performance versus budget and forecast, identifying key variances and drivers.
- Provide actionable insights to support business and project decision-making.
Project Financial Analysis
- Evaluate financial feasibility of real estate projects including ROI, IRR, and margin analysis.
- Track project-level profitability across development stages (land, construction, sales, turnover).
- Work closely with project and operations teams to ensure cost and revenue alignment.
Management Reporting
- Prepare and present financial reports, dashboards, and executive summaries for leadership.
- Provide clear visibility on business performance, risks, and opportunities.
- Support board-level reporting and business reviews.
Cost Control & Efficiency
- Monitor operating expenses and project costs to ensure alignment with approved budgets.
- Identify cost optimization opportunities across projects and corporate functions.
- Support implementation of cost control measures and financial discipline.
Business Partnering
- Act as a financial partner to operations, sales, construction, and development teams.
- Provide financial guidance to support strategic and operational decisions.
- Collaborate with cross-functional teams to ensure financial alignment of business initiatives.
Systems & Process Improvement
- Enhance FP&A processes, tools, and reporting systems for improved efficiency and accuracy.
- Support development of financial dashboards and automation initiatives.
- Improve data integrity and financial planning methodologies.
Qualifications
Education
- Bachelor’s degree in Finance, Accounting, Economics, or Business Administration.
- CPA, CFA, or equivalent certification is an advantage.
Experience
- 5–8+ years of experience in FP&A, corporate finance, or financial analysis roles.
- Experience in real estate development, construction, infrastructure, or other project-based industries is highly preferred.
- Strong exposure to budgeting, forecasting, and financial modeling.