Director of Financial Planning and Analysis

The Connor Group

  • Miamisburg, OH
  • 7 days ago

    Highlights

    Budgeting & Variance Analysis: Direct the comprehensive budgeting process for the corporate office and properties, partnering directly with leadership to build budgets and manage ongoing actual-to-plan variance analysis. This critical, hands-on role is responsible for delivering actionable insights, developing scalable financial models, and partnering with senior leadership to drive strategy and performance.

    Numbers & Facts

    LocationMiamisburg, OH

    Description

    Director of Financial Planning & Analysis

    The Connor Group is one of the country's most successful owners and operators of luxury apartment communities. Over the past 30+ years, we've grown from zero to more than $5 billion in assets by hiring exceptional leaders-not industry veterans.

    Does this describe you?

    • Do you love financial analysis and identifying fundamental problems coupled with creating common sense solutions?
    • Are you highly organized and disciplined with an exceptional level of attention to detail?
    • Are you an energetic, forward-thinking individual with high ethical standards?
    • Do you have excellent analytical and critical thinking abilities?
    • Are you a roll-up-your-sleeves leader who can function as both a doer and a delegator as situations dictate?

    We are seeking a highly disciplined individual to join our team as the Director of Financial Planning & Analysis. This critical, hands-on role is responsible for delivering actionable insights, developing scalable financial models, and partnering with senior leadership to drive strategy and performance.

    Key Responsibilities

    • Global Cash Forecasting: Own global cash forecasting for all properties, funds, and corporate entities.
    • Budgeting & Variance Analysis: Direct the comprehensive budgeting process for the corporate office and properties, partnering directly with leadership to build budgets and manage ongoing actual-to-plan variance analysis.
    • Cash Management & Strategy: Analyze and plan cash management, including the ongoing evaluation of funds available versus needs, and optimize strategies to earn maximum interest on deposits.
    • Capital Optimization: Execute proper planning to correctly utilize appropriate financial levers, ensuring the lowest cost of capital.
    • Fund Analysis & Distributions: Analyze reserves at the fund level and provide data-driven recommendations for distributions following property capital events.
    • Treasury & Controls: Maintain, update, and implement treasury procedures and internal controls while driving organizational best practices.

    Why The Connor Group?

    Recognized as a:

    • 2026 USA TODAY Top Workplace
    • Multiple Top Workplace & Culture Award Winner
    • 2x Gold Stevie Award - Company of the Year
    • TITAN Award Winner for Best Workplace & Best Company Culture

    What we Offer

    • Equity Partnership opportunity worth an estimated value of $4 million over 20 years.
    • Competitive compensation with performance-based incentives.
    • Exceptional Day 1 medical benefits for you and your family, including a company-funded HSA or FSA.
    • 401(k) with company match up to 9%.
    • The opportunity to help influence growth with one of the nation's fastest-growing, privately held companies alongside an elite executive team.

    Candidate Qualifications

    • Bachelor's degree in Finance, Accounting, Economics, or related field.
    • 10+ years of progressive experience in financial or analytical roles.
    • Strong financial modeling and analytical skills.
    • Strong written and verbal communication skills to effectively communicate with both internal and external customers/business partners.
    • Proven record serving as a strategic partner to the business with strong interpersonal skills and ability to collaborate across all levels of the organization.
    • Strict attention to detail, highly organized, efficient, and ability to multi-task.
    • Treasury experience is a plus.

    This role is 100% on-site at our corporate office in Miamisburg, Ohio.

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