Senior Associate - Corporate Finance

Kilroy RealtyLos Angeles, CA

About The Position

This is a unique opportunity to join a highly visible Corporate Finance team at one of the leading public REITs in the country. Reporting to the Senior Vice President, Investor Relations and Capital Markets, you will play a key role across treasury, capital planning, earnings preparation, investor relations, board reporting, debt compliance, and annual business planning. This role offers broad exposure to the financial operations and strategic decision-making of a publicly traded real estate company. You will work closely with senior leaders and collaborate across Finance, Accounting, Asset Management, Market Research, and Investor Relations to support critical initiatives that help shape the Company's financial strategy and performance. The ideal candidate is analytical, highly organized, and eager to learn. You thrive in a fast-paced environment, enjoy solving complex problems, and take pride in delivering accurate, polished work. If you are looking for a role that offers meaningful responsibility, executive exposure, and a clear path for professional growth, this is an exceptional opportunity to build a well-rounded foundation in corporate finance.

Requirements

  • 3+ years of experience in a related field (e.g., Finance, FP&A, Big 4 accounting, Banking, etc.)
  • Ability to multi-task and willing to embrace job duties across all corporate finance functions, including Financial Planning and Analysis (FP&A)
  • Knowledge of finance, accounting, budgeting, and Generally Accepted Accounting Principles preferred
  • Skilled in Microsoft Excel and PowerPoint
  • Strong communication and presentation skills
  • Polished and professional demeanor; must be capable of working with various teams across the organization, including accounting and asset management.

Nice To Haves

  • Knowledge of office real estate, lease structures or development would be helpful

Responsibilities

  • Manage daily treasury operations, including bank accounts, cash positioning, liquidity monitoring, forecasting, wire transfers, and cash reporting.
  • Support cash flow projections, funding analyses, and capital markets activities.
  • Support quarterly earnings call preparation, including financial analyses, market and peer data, supporting schedules, and presentation materials.
  • Assist with earnings call remarks and coordinate information across Finance, Accounting, FP&A, and Market Research.
  • Prepare and distribute monthly and quarterly JV reporting packages and coordinate required financial and operational information.
  • Assist with preparation and coordination of the Company's annual business plan.
  • Prepare covenant compliance packages, lender reporting, and secured debt reporting requirements.
  • Compile financial data, maintain reporting models, and coordinate loan reporting submissions.
  • Support investor presentations, conferences, meetings, and other investor-facing events.
  • Assist with Board reports, presentations, and supporting materials.
  • Manage bank account administration, banking documentation, and banking platform access, security, and user permissions.
  • Maintain treasury, reporting, investor, Board, and earnings-call materials, financial models, and documentation in SharePoint and other shared repositories.
  • Other duties as assigned

Benefits

  • Comprehensive group health benefits program
  • Medical
  • Dental
  • Vision
  • FSA options
  • HSA options
  • Group Life & Disability
  • LTD coverage
  • Retirement savings plan with a competitive employer match
  • Parental leave coaching program
  • Wellness programs
  • Commuter benefits
  • Annual discretionary bonus
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