Crow Holdings

Financial Manager

Financial Reporting

Position Summary

Crow Holdings is a nationally focused real estate investment and development firm headquartered in Dallas. With a 70 year operating history and a proven track record of performance and innovation, the Company is unsurpassed in its industry reach and access. Through our Crow Holdings Capital (CHC) group, we identify and implement real estate investment strategies with leading institutional and individual investors through funds and other investment vehicles. Our development platform, consisting of Trammell Crow Residential and Crow Holdings Industrial, is deployed across 13 major U.S. markets and creates new multifamily and industrial properties. As a privately owned firm with a strong and diversified financial base, we also invest in public and private securities alongside other families and individual investors. Our founding principles of partnership, collaboration and alignment of interests remain central to the operations of each of our businesses today.

The Financial Reporting team of Crow Holdings is seeking a Financial Manager to capture, analyze and report financial information to produce firm-wide and shareholder-specific reporting to support all phases of financial planning and investment strategy for key stakeholders, including senior executives, board of directors and owners. This opportunity is uniquely positioned to gain working knowledge of all the business lines across the enterprise in addition to the shareholder’s view of the business. This is a hands-on, data centric role looking for a professional who excels in a self-propelled, continuous learning environment and seeks opportunities to enhance product deliverables and increase operational efficiencies.

Primary Responsibilites

  • Manage the bi-annual reporting process for all investments of the enterprise as well as select investments of the shareholders. The process includes gathering fair market values and ownership details of investments to support the enterprise and shareholder net asset values.
  • Responsible for issuing corporate and shareholder financial statements including balance sheet, investment detail, minority and marketability discounts, reserve for deferred tax and footnotes.
  • Provide financial data and analysis for executive quarterly reporting and board reporting packages.
  • Perform daily compilation and analysis of Crow Holdings’ managed transactions; compare to business model and provide variance explanations.
  • Construct reports and financial packages for multidimensional view of the business progress compared to the business plan.
  • Work closely with the Treasury team to develop a liquidity reporting package and assist with cash management.
  • Assist in various ad-hoc projects for enterprise-wide and individual shareholders such as performance trends and private wealth modeling.
  • Proactively identify opportunities for efficiencies and improvements to processes, controls and technology systems related to functions being performed.
  • Develop test script and test plan for required system upgrade testing in Microsoft D365 F&O platform.

Desired Skills & Experience

  • Bachelor’s degree in Finance or Accounting, CPA a plus
  • 5+ years experience executing high accountability work products with high degree of accuracy and timeliness
  • Seasoned analytical skills and business acumen with ability to draw insights from data
  • Ability to make decisions based on precedent and be able to solve arising problems using sound professional judgement, experience and research
  • Advanced proficiency in Excel/Microsoft Office suite (Proficient in PowerPoint)

To apply, please click here.

This overview is designed to introduce Crow Holdings and its various operating companies. Crow Holdings Capital is a U.S. SEC registered investment adviser and is the manager to the Crow Holdings Capital Funds. Maple Capital Management, L.L.C. is a U.S. SEC registered investment adviser and is the manager of the Crow Holdings Industrial Build-to-Hold Fund. Crow Holdings Capital, Trammell Crow Residential and Crow Holdings Industrial are operated separately and independently from one another with separate senior leadership and investment committees. SEC registration does not imply a certain level of skill or training.