Manager, Financial Planning & Analysis, Infrastructure at Fengate Asset Management | Ontario, CAN | Rezi

Manager, Financial Planning & Analysis, Infrastructure at Fengate Asset Management

Manager, Financial Planning & Analysis, Infrastructure

Fengate Asset Management · Ontario, CAN

1 weeks ago

Manager, Financial Planning & Analysis, Infrastructure

Fengate Asset Management · Ontario, CAN

8 days ago
Resume preview

Impress employers and recruiters.
Choose from hundreds of resume examples.

Target Resume Now

About the Role

This role will play a key part in strengthening Fengate’s planning, forecasting, and performance reporting capabilities across the Infrastructure business. Reporting to the Associate Vice President, FP&A, the Manager will work closely with members of the Infrastructure business, including the Value Creation & Asset Management team (VCAM), Investments team, Investor Relations, and senior leadership, to support portfolio-level decision-making and value creation initiatives.

Responsibilities

  • Lead complex financial analysis, scenario modelling, and transaction-related support across acquisitions, financings, due diligence, and other strategic initiatives, including coordination with internal stakeholders and external advisors.
  • Coordinate quarterly and annual valuation processes, including valuation updates, supporting materials, reporting packages, and management of external valuators, as required.
  • Partner with the Value Creation & Asset Management team on portfolio initiatives, operating plan reviews, variance analysis, performance improvement opportunities, and asset-level decision support.
  • Liaise with Investor Relations to prepare investor information packages, respond to investor questions, and support medium- and long-term investor return analysis.
  • Oversee cash flow planning and identify opportunities to maximize investor returns.
  • Develop, enhance, and lead budgeting, forecasting, and dynamic levered cash flow models using inputs from key business partners.
  • Analyze KPI trends, budget-to-actual variances, revenue, expenses, and capital expenditures to support strategic and operating decisions.
  • Identify opportunities to improve reporting, forecasting, and planning processes through standardization, automation, and effective use of technology and AI-enabled tools.
  • Partner with Financial Reporting to enhance internal and external reporting, forecasting infrastructure, and presentation materials.

Requirements

  • CPA, CFA, CBV, MBA, or equivalent designation preferred.
  • 4+ years of progressive experience in infrastructure, asset or fund management, pension/investment, valuation, advisory, or consulting environments.
  • Advanced Excel and financial modelling skills, with the ability to build robust models, perform complex analysis, and develop executive-ready recommendations.
  • Strong commercial acumen, including an understanding of investment risk factors, asset performance drivers, and value creation levers.
  • Strong judgment and ownership mindset, with the ability to manage competing priorities, solve problems, navigate ambiguity, and deliver accurate work under tight deadlines.
  • Excellent stakeholder management, presentation, verbal, and written communication skills, with the ability to translate complex financial concepts into clear business language.
  • Experience with real assets and alternative investment portfolios is considered an asset.

Skills

  • Financial modeling
  • Valuation
  • Forecasting
  • Budgeting
  • Analytics
  • Reporting
  • Excel
  • Stakeholder management
  • Presentation
  • Verbal communication
  • Written communication

Experience Level

  • 4+ years of progressive experience

Education Level

  • CPA, CFA, CBV, MBA, or equivalent designation preferred