Investments Director responsible for managing the diligence process for QTS's real estate investments. Collaboration with teams for project management and financial analysis in a leading digital infrastructure company.
Responsibilities
Manage processes internally for investments group to ensure timely and accurate response
Build better systems for tracking deals, contacts and information across the organization for real estate investment optimization
Development and ownership of financial models to support the company acquisitions, financings (joint-venture, equity initiatives, etc.), land, asset and operating company acquisitions/dispositions
Assist in managing projects from identification through completion, including coordination of due diligence teams and model underwriting
Research market data and costs information to drive the most meaningful decision analytics for senior management
Project management of financial items through these transactions
Management of P&L to closing documents
Cross-team coordination both pre- and post-closing
Create and utilize corporate financial models in Microsoft Excel
Understanding of Argus Enterprise software to analyze and underwrite datacenter properties
The writing and preparation of investment materials such as investment memorandums, presentations, and proposals
Analyze and interpret property level information including historical operating statements, budgets, CAM reconciliations, leases, loan agreements, etc.
Lead calls and meetings with key internal and external constituents
Research and report on various markets and assets on specific assignments, in the course of continuing to expand market knowledge, and for general business development purposes
Provide advice on economic impact of new conditions and develop economic forecasts and drive business insights
Systematically track, compile, and interpret various sources of data related to the group’s business
Analyze business problems, and compile, analyze, and report data as part of economic impact research and analysis based on new and existing econometric data
Collaborate as independent contributor with cross-functional teams to implement strategies across a product or market
Conduct research, prepare reports, and analyze economic data to develop and shape business strategies
Based on the results of the research, develop strategies for managing products or markets and devise and manage business development strategies in order to maximize returns and increase efficiency
Coordinate the due diligence and closing process for transactions under contract, working with internal and third parties to analyze information and research financing and operating issues relevant to each transaction
Work effectively in a team environment, assuming all tasks as needed
Assist in the development of financial models for new assets, products and corporate initiatives, which include supporting management of the market or product pipeline
Use a thorough understanding of GAAP and finance theory to help business partners understand the financial implications of potential business decisions
Partner with business leaders to ensure that they understand the financial drivers inherent in those plans
Analyze actual vs. forecast performance, with an emphasis on understanding and communicating how the company will meet its financial commitments
Clearly and concisely communicate expected and actual financial results and the activities underlying those results
Identify, analyze, communicate and provide suggested solutions to resolve financial issues which impact business objectives
Evaluate the net present value and other operating metrics for capital investments in product development and other sources of growth
Leverage information systems to increase efficiency and effectiveness of forecasting and analysis
Requirements
Bachelor’s degree preferably with a concentration in Finance, Economics, Accounting or Mathematics or equivalent professional experience
Seven or more years of working experience in a collaborative financial environment (banking, real estate, etc.) focused on driving bottom line value-creation through strategic thinking in a time-sensitive manner
Experience in fast-paced, high-growth Data Center markets
Experience providing financial and analytical support to a development organization
Solid proficiency in MS Office applications, especially Excel
Solid experience creating financial models using WACC, NPV, IRR and ROI
Advanced proficiency with analytical and financial modeling tools such as Microsoft Excel
Ability to build comprehensive financial models including integrated income statement, balance sheet and cash flow statement
Ability to efficiently synthesize large amounts of data and derive appropriate conclusions
Benefits
medical, dental, vision, life, and disability insurance
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