Senior Analyst - Corporate Finance and Financial Planning Analysis

Kilroy Realty Los Angeles, CA Open
Kilroy Realty is looking for Senior Analyst - Corporate Finance and Financial Planning Analysis in Los Angeles, CA.
This local job opportunity with ID 3863337426 is live since 2026-10-02 08:16:19.
Overview

In this Senior Analyst role, you will support corporate finance and FP&A, building and validating dynamic financial models, forecasting, and variance analysis to enable strategic decisions. You will collaborate with cross-functional teams and produce executive-ready reports, board materials, and investor-facing content. The position offers exposure to capital markets, treasury, and corporate presentations within a growth oriented real estate platform. You'll work closely with senior leadership to shape budgeting, financing, and capital planning initiatives.

Compensation / Benefits
  • base pay plus annual discretionary bonus
  • comprehensive health benefits (medical, dental, vision) with FSA/HSA options
  • retirement savings plan with employer match
  • par ental leave coaching program and wellness benefits
  • commuter benefits
  • opportunity for growth within Kilroy Realty
Responsibilities
  • Develop and maintain annual budgets and monthly forecasts by translating cross-functional inputs into financial projections
  • Perform variance, sensitivity, and scenario analyses to assess impact of changing assumptions
  • Maintain and validate the Corporate Model for quarterly forecasting and ad-hoc analyses
  • Track metrics such as FFO, FAD, NOI, occupancy, capex, and revenue recognition
  • Review property-level and corporate-level analyses with Asset Management, Accounting, and Treasury
  • Assist with market statistics, peer benchmarking, and quarterly conference call preparation
  • Prepare support schedules for quarterly earnings calls and investor materials
  • Support treasury and capital markets activities including liquidity forecasting and debt/equity financing analyses
  • Contribute to Board reports and executive presentation materials
  • Identify opportunities to improve reporting accuracy, efficiency, and dashboarding
Key requirements
  • Bachelor's degree in finance, accounting, economics, real estate, or related field; 3-5+ years in finance/FP&A/corporate finance or related analytical function
  • Strong Excel modeling skills and experience with dynamic financial models and corporate forecasts
  • Knowledge of financial statements and cash flow relationships (income statement, balance sheet, cash flow)
  • Understanding of real estate fundamentals and REITs preferred
  • Excellent verbal and presentation skills with ability to interact with senior management
  • Knowledge of GAAP and budgeting/forecasting principles; experience with capital markets is a plus
  • Experience with financial planning systems (Yardi, Argus Enterprise, Power BI, Tableau) is a plus
  • Wall Street/Investment banking, treasury, or investor relations exposure is beneficial
  • strong communication and presentation skills
  • ability to work with senior executives
  • cross-functional collaboration
  • Excel modeling (dynamic models)
  • GAAP knowledge
  • financial planning systems (Yardi, Argus Enterprise, Power BI, Tableau)
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