AVP, Corporate Finance

RXR•New York, NY
•$170,000 - $190,000•Onsite

About The Position

The AVP, Corporate Finance is a key member of RXR's Corporate Finance team and is responsible for leading financial planning, analysis and strategic support for RXR’s corporate and operating business. Responsibilities include supporting corporate finance transactions, financial modelling and budgeting, business unit performance management, cash flow and various scenario analysis. The position is highly visible and works closely with senior management and a broad cross-functional group, including investment professionals, business segment and unit leaders, asset management, accounting teams, and finance professionals embedded within RXR's business segments. The AVP will play a key part in synthesizing inputs from these groups into a cohesive corporate forecast, ensure the accuracy and integrity of financial projections, and translate changes in the business into clear financial implications for senior leadership, investors, and other stakeholders.

Requirements

  • 6-8 years of progressive experience in financial planning & analysis, corporate finance, real estate finance, or investment management, preferably within a complex real estate investment or operating platform.
  • Bachelor’s degree in Finance, Real Estate, Economics, Accounting, or a related field
  • Advanced Excel financial modeling is required, including the ability to independently own, maintain, audit, and improve complex integrated financial models.
  • Demonstrated interest in and ability to leverage AI and other technologies to improve analysis, automate processes, and enhance the efficiency and scalability of workflows.
  • Strong PowerPoint skills are required
  • Strong understanding of real estate investment and operating businesses, including transactions, joint ventures, asset-level economics, fee-based service businesses, and complex organizational and capital structures.
  • Strong quantitative and qualitative analytical capabilities, with exceptional attention to detail and the ability to connect asset- and business-level activity to consolidated Company financial performance.
  • Excellent written and verbal communication skills, with the ability to obtain and challenge inputs from a diverse group of stakeholders and communicate financial concepts to senior executives.
  • Proven ability to manage cross-functional processes, coordinate across multiple business and accounting teams, lead junior staff, and influence key stakeholders without direct authority.
  • Highly organized, proactive, and adaptable, with a willingness to take ownership of new initiatives and responsibilities as business needs evolve, including areas that may fall outside of the role’s defined day-to-day responsibilities.

Nice To Haves

  • MBA or CFA preferred
  • experience with Yardi is preferred

Responsibilities

  • Own the day-to-day maintenance and continued development of RXR's integrated corporate model, annual budgets, reforecasts, and multi-year financial projections in collaboration with the team.
  • Coordinate the forecast process across business segments, validate key assumptions, and ensure changes are incorporated accurately and consistently into the corporate forecast.
  • Maintain detailed supporting schedules to facilitate the forecast process.
  • Assist with actual-to-budget and actual-to-forecast analyses, identify material variances and emerging trends, and update forward-looking assumptions as the business evolves.
  • Continuously improve model structure, controls, documentation, and reporting processes to increase accuracy, scalability, and efficiency.
  • Develop an intimate understanding of RXR’s businesses and how the Company generates earnings and cash flow across its investments and service businesses.
  • Stay connected to activity across the platform, including new investments, acquisitions, dispositions, financings, developments, joint ventures, asset-level developments, and strategic initiatives, and assess their financial implications for the Company.
  • Synthesize financial and operating information into clear insights, scenarios, and recommendations for senior leadership.
  • Support the execution of corporate transactions, including preparation of financial analyses, marketing materials, responding to investor diligence responses, and other transaction-related materials.
  • Support corporate liquidity planning, cash management, distributions, debt and covenant analyses, and internal capital allocation analyses.
  • Develop executive-level financial presentations and reports for senior leadership, investors, lenders, rating agencies, and board-level discussions, as applicable.
  • Perform scenario and sensitivity analyses to evaluate strategic decisions, business initiatives, capital needs, and changes in operating assumptions.
  • Serve as a central point of coordination across Corporate Finance and RXR's business segments for forecasting, planning, and model-related matters.
  • Build strong working relationships across a diverse group of stakeholders, accounting, segment leaders, asset management teams, and investment professionals.
  • Lead and mentor junior finance staff, promoting financial modeling practices, and a high level of ownership and accountability.
  • Support ad-hoc financial analyses and special projects as business needs evolve.

Benefits

  • Bonus eligible
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