Chief Financial Officer (CFO)
Marquette Management, Inc., Naperville, IL, United States
Marquette Companies is a multifamily investment leader with a 40-year track record of success across the United States.
Our vertically integrated approach includes in-house capabilities in acquisition, asset, property, ground up development and construction management, allowing us to control all aspects of our investments.
Key Highlights
- Experience: Over 40 years in the industry.
- Portfolio: Valued at over $3.3 billion, including more than 15,790 units across the U.S.
- Operations: Active in 8 states with a strong presence in multifamily and mixed-use properties.
- Subsidiary: Marquette Management, providing award-winning property management services.
Vision and Values: We aim to be the top choice for living, working, and investing by delivering exceptional living spaces and unparalleled customer service. We are built on a foundation of authenticity, teamwork, exceptional customer service and a passion for real estate.
Required Skill Set
- Responsible for the oversight of all debt capital market activities including overseeing existing loans and securing in collaboration with the acquisition and development team all new financing for both new acquisitions and development projects.
- Responsible for originating and monitoring all hedge instruments associated with Company’s variable rate property loans.
- Work collaboratively with CEO, Head of Acquisition and Head of Development to source new equity for all future acquisitions and development projects.
- Overall responsibility for Investor reporting working with property and asset management teams to produce timely reporting, prior performance tables, cash projections and distributions.
- Oversee all corporate accounting, annual business plan preparation, budgeting, and cash flow projections.
- Oversee all corporate Federal and State Income Tax matters. Handle all partner tax matters related to the company.
- Responsible for the oversight of all real estate tax reporting and appeals efforts. Work with local real estate tax appeal counsel, asset management and investor to provide information and strategy for all real estate tax appeals.
- Oversee all corporate and property management treasury functions and including managing all banking relationships.
- Work collaboratively with COO for corporate risk management including corporate insurance, property level insurance, and health and benefit insurance.
- Attend industry conventions and conferences to represent the company to help maintain and grow key relationships for the company’s benefit.
Your core competencies should include:
- 5 plus years of relevant experience with an emphasis on real estate capital markets, investor relations, and strategic planning. Bachelors, Master’s degree and or CPA preferred.
- Demonstrated ability to negotiate complicated financial transactions including track record of completed real estate deals.
- Experience managing a group of professional and support staff in a dynamic environment. Ability to work collaboratively over all business lines to build consensus amongst peers and subordinates.
- Strong analytical and problem-solving skills.
- Excellent communication and presentation skills with the ability to articulate Company’s business strategy both internally as well as to the investment community at large.
We believe in equity. We celebrate the unique backgrounds and lived experiences of our employees. We value the differences that continue to make us the most authentic versions of ourselves in our professional and personal lives. We strive to provide a safe and supportive environment where people from all walks of life can thrive, making us the best place to work, live, and invest.
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