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Senior analyst fp&a and valuations, real estate

London
Brookfield Properties
Real estate
Posted: 30 September
Offer description

Overview

Senior Analyst FP&A and Valuations, Real Estate – Brookfield Properties. This role acts as the primary finance contact for a set of portfolio companies within the real estate portfolio, overseeing financial performance, supporting strategic decision-making, and ensuring high-quality deliverables to the fund.

Location: London - One Canada Square, Level 26


Key Responsibilities

* Portfolio Oversight & Reporting: Lead financial performance review of portfolio companies, build strong relationships with finance teams, and deliver accurate, timely reporting for fund requirements.
* Finance analytics: Support collection and analysis of financial results, private fund performance metrics, and key value drivers; provide clear variance analysis and commentary.
* Data integrity: Ensure data accuracy and completeness, maintaining high-integrity inputs into systems for executive and investor reporting.
* Strategic updates: Translate portfolio company strategy and value drivers into clear updates, tracking delivery against underwritten investment thesis.
* Valuation & Business Planning: Challenge assumptions and metrics in NAV and quarterly valuations, ensuring alignment with Brookfield frameworks.
* Business planning: Coordinate and review annual business plans and quarterly reforecasts; review strategies, key assumptions and financial outcomes.
* Communication: Present valuation methodologies and outcomes to senior leadership, fund, and audit teams.
* Model Ownership: Review asset management models, incorporate actuals, operating forecasts, financing, tax and investment assumptions; reconcile model changes against business plans and investment criteria; run sensitivities and other analyses to support capital planning and performance tracking.
* Commercial Finance & Stakeholder Engagement: Present asset and valuation performance to leadership and stakeholders; turn financial data into a clear commercial narrative that highlights assumptions, value creation drivers, risks, and strategic context.
* Liquidity & Debt Management: Oversee and review liquidity forecasts across portfolio companies to support fund capital calls, distribution strategy, and cash optimization; monitor debt compliance, upcoming maturities, and hedge maturities and impact on liquidity requirements.
* Investor Relations, Onboarding & Process Improvement: Support investor relations with responses to investor queries, case studies, co-invest reporting, and presentations; support onboarding of new portfolio companies into private fund FP&A processes; continuously improve reporting and processes, challenging inefficiencies and implementing tech-enabled solutions.


Candidate Profile

* ACA / ACCA / CIMA qualified with 2–3 years’ post-qualified experience; CFA or other similar accreditation.
* Strong expertise in FP&A, valuations, or corporate finance.
* Understands key valuation inputs and private fund performance metrics; can translate financial outcomes into a clear commercial narrative.
* Partners effectively with senior stakeholders; challenges assumptions constructively and drives changes.
* High attention to detail, strong Excel skills and financial modelling experience.
* Clear communication; can simplify complex financial information into actionable insights.
* Experience in real estate or similar asset-intensive sectors preferred.
* Thrives in fast-paced, high-performance environments with competing priorities.
* Self-starter with pragmatic mindset and drive for continuous improvement.
* Thinks like an owner, balancing detail with strategic perspective.

We are proud to create a diverse environment and are an equal opportunity employer. We appreciate your interest in this position; however, only candidates selected for pre-screening will be contacted.


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