Finance Manager (Bogotá)

Finance Manager (Bogotá)

03 ago
|
Empresa reconocida
|
Bogotá

03 ago

Empresa reconocida

Bogotá

About **** Capital

**** Capital is a real estate investment and asset management firm focused on the industrial sector. We specialize in acquiring, operating, and repositioning mission-critical industrial assets across the U.S., including outdoor storage, small-bay, and low-coverage industrial properties. Our platform combines institutional discipline with entrepreneurial execution, leveraging deep market insight, vertically integrated management, and creative capital structuring. To learn more, visit ****capital.com.

Position Summary

**** Capital is seeking a highly organized, detail-oriented, and proactive Finance Manager to oversee the financial operations of the General Partner and management company entities.

The idóneo candidate possesses a strong accounting foundation, excellent organizational and project management skills, and the ability to independently manage recurring financial processes with minimal supervision. This individual will serve as the firm's internal finance lead, ensuring accurate financial reporting, effective budgeting, sound financial controls, and smooth coordination with external accounting and tax professionals.

Success in this role requires ownership, initiative, and the ability to continuously improve financial processes as the organization grows.

What You'll Be Responsible For

Financial Planning & Budgeting

- Lead the annual budgeting process and maintain rolling forecasts.
- Monitor presente performance against budget and explain key variances.
- Identify spending trends, cost-saving opportunities, and financial risks.
- Prepare financial analyses to support management decision-making.
- Maintain budgeting models and planning schedules.

Financial Reporting

- Own the monthly and quarterly management reporting process.
- Prepare executive financial reports, KPI dashboards, and operating summaries.
- Ensure reports are accurate, timely, and presented in a clear,

decision-useful format.




- Support ad hoc financial analyses and reporting requests.
Accounting & Financial Operations

- Oversee month-end and year-end close coordination.
- Review journal entries, reconciliations, and supporting schedules.
- Maintain accurate accounting records for cash, accruals, prepaid expenses, fixed assets, and intercompany transactions.
- Coordinate closely with external bookkeeping firms, accountants, and auditors.
- Ensure financial records remain complete, organized, and audit-ready.
Cash Management

- Maintain cash forecasts and liquidity planning.
- Monitor operating cash requirements and funding needs.
- Prepare periodic cash flow reports for management.
- Coordinate payment schedules and recurring financial obligations.

Tax & Compliance Coordination

- Coordinate annual tax preparation with external CPA firms.
- Prepare supporting schedules and documentation.
- Track tax filing deadlines and compliance requirements.
- Support annual audits and regulatory reporting as needed.

Process Improvement & Financial Controls
- Improve accounting workflows and financial reporting processes.
- Develop standardized procedures, templates, and documentation.
- Strengthen internal controls and financial governance.
- Identify opportunities to automate recurring tasks and improve efficiency.
- Help build scalable finance processes that support the firm's continued growth.

Qualifications
Required

- Bachelor's degree in Accounting, Finance, or a related field.

- CPA designation or CPA candidate strongly preferred.




- 7+ years of progressive accounting, finance, or financial reporting experience.
- Strong understanding of financial statements, general ledger accounting, reconciliations, budgeting, and financial controls.
- Experience coordinating month-end close and annual financial reporting.
- Advanced Excel skills and strong analytical abilities.
- Exceptional organizational skills with the ability to manage multiple priorities and deadlines.
- Strong attention to detail and commitment to accuracy.
- Self-motivated with the ability to work independently and take ownership of responsibilities.
- Excellent written and verbal communication skills.

Preferred

- Experience managing relationships with external accountants, auditors, tax advisors, or service providers.
- Experience implementing or improving financial processes and internal controls.
- Experience with accounting software such as QuickBooks, Sage Intacct, NetSuite, or similar ERP systems.
- Experience in real estate, professional services, investment management, or other multi-entity organizations is beneficial but not required.
- Exposure to private equity, fund accounting, or investment management is a plus but not required.

What We're Looking For

The ideal candidate is someone who naturally brings structure to complexity. They enjoy building organized financial processes, solving operational challenges, and ensuring every detail is accurate. They are comfortable taking ownership, coordinating across multiple stakeholders, and proactively improving how work gets done.

This role is best suited for someone who combines strong technical accounting knowledge with excellent organizational skills, sound business judgment, and a continuous improvement mindset.

Industry: Real Estate

Employment Type: Full-time

#J-*****-Ljbffr

? Finance Manager (Bogotá)
? **** Capital
? Bogotá

📌 Finance Manager (Bogotá)
🏢 Empresa reconocida
📍 Bogotá

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