Join a high-profile NYC restaurant backed by an established real estate investment group. This is a hands-on finance manager opportunity supporting a dynamic hospitality operation, offering additional exposure to real estate portfolio initiatives and direct collaboration with senior management. If you're passionate about operational finance and want to drive real-world business impact, this is an outstanding career move.


Finance Manager Benefits & Compensation


  • Exposure to international leadership and portfolio-level strategy
  • Opportunity to influence both hospitality and real estate operations
  • Growth potential within a diversified and stable platform


Finance Manager Requirements & Qualifications


  • Bachelor’s degree in Finance, Accounting, or related field
  • CPA required
  • 5+ years of financial management or FP&A experience
  • Experience within restaurant, food & beverage environments
  • Proven skills in financial modeling, budgeting, forecasting, and variance analysis
  • Lead month-end and year-end close processes and the preparation of full financial statements (P&L, balance sheet, cash flow)
  • Strong general ledger management and familiarity with financial reporting
  • Experience processing A/P and A/R, with full cycle accounting responsibility
  • Review daily cash and credit card sales; reconcile against POS systems
  • Comfortable working independently in an operational setting
  • Ability to commute to New York, NY


Finance Manager Preferred Background & Skills


  • Experience with accounting and operations systems such as Yardi, QuickBooks, TOAST, MarginEdge, or Tripleseat
  • Background supporting both hospitality and real estate entities
  • Strong operational mindset—comfortable analyzing daily sales, labor, and cost drivers
  • Experience reporting to international leadership teams
  • Process-improvement focus and strong internal controls orientation
  • Bilingual abilities are a plus


Finance Manager Day-to-Day Responsibilities


  • Oversee full cycle accounting, including A/P and A/R processing, general ledger management, and financial reporting
  • Lead month-end and year-end close, ensuring accuracy and timeliness
  • Perform bank reconciliations and manage daily cash positioning
  • Process vendor invoices, set up accounts, and maintain compliance documentation
  • Analyze sales trends, margins, and operational costs to identify improvement opportunities
  • Build and maintain detailed cash flow forecasts and identify liquidity risks
  • Coordinate with banks, auditors, vendors, and external consultants
  • Support ad-hoc financial projects and assist with real estate portfolio reporting


This role is ideal for a CPA who wants to be embedded in day-to-day hospitality operations while gaining exposure to a broader real estate investment platform.