DA

Dream Advisors

Verified Job Source

Building Better Communities

Amsterdam, North Holland

Real Estate
11–50 people

About

Dream Industrial REIT owns and operates a portfolio of 177 industrial properties comprising approximately 27.3 million square feet of gross leasable area in key markets across North America and a growing presence in strong European industrial markets.

Open positions

Building Operator

On-site · Toronto

The Building Operator is responsible for performing preventative maintenance on building systems and completing tenant service calls. They also oversee contractors, manage building automation systems, and ensure property safety and appearance.

Site Labourer

On-site · Saskatoon

The Site Labourer will assist with daily construction operations, maintenance, and site safety to ensure projects are ready for trade partners. Responsibilities include managing construction waste, loading and unloading materials, and performing site-related administrative tasks.

Property Accountant

On-site · Toronto

The Property Accountant is responsible for the complete monthly, quarterly, and yearly financial reporting for a portfolio of properties. This includes preparing property-level financial analysis, managing budgets, and performing recovery ratio analysis.

Intern, Development Administration

On-site · Toronto

The intern will support the development team with daily administrative tasks, project documentation, and meeting coordination. They will also assist in organizing project folders and records to maintain an efficient digital and physical filing system.

Manager, Accounting

On-site · Toronto

The Manager, Accounting will oversee the financial management and accounting operations cycle for a diverse portfolio of income property assets. This includes managing financial reporting, variance analysis, budgeting, and providing leadership and mentorship to the accounting team.

Analyst, Treasury

On-site · Toronto

The role involves managing daily cash activities, preparing cash forecasts, and reconciling bank transactions for the Dream group of companies. Additionally, the analyst will administer credit facilities and process outgoing payments and bank transfers.

Senior Manager, People & Culture

On-site · Toronto

The Senior Manager, People & Culture acts as a strategic business partner overseeing talent management, organizational design, and employee relations across four public entities. They lead a team of HR professionals to deliver scalable programs and provide senior advisory support throughout the employee lifecycle.

Building Operator (Bilingual)

On-site · Ottawa

Perform preventative maintenance on HVAC, plumbing, and life safety systems while handling tenant service calls professionally. Oversee property safety, manage contractors, and operate building automation and security systems.

Office Administrator (Bilingual)

On-site · Ottawa

Manage day-to-day office operations including client reception, supply procurement, and facility maintenance. Provide critical support to the accounting team by processing invoices, creating purchase orders, and managing accounts payable correspondence.

Manager, Accounting

On-site · Calgary

Oversee accounting and accounts payable functions for the Alberta Land & Housing team and treasury for Western Canada. Responsibilities include preparing monthly entries, reconciliations, consolidated reporting, and managing the external audit process.

Senior Manager, Property Accounting

On-site · Ontario

Manage and develop a team of Property Accountants to ensure accurate financial reporting and timely management of the property portfolio. Oversee full-cycle accounting duties, including NOI variance reporting, budget execution, and year-end audit coordination.

Assistant Property Manager

On-site · Toronto

The Assistant Property Manager supports the Senior Property Manager in tenant administration, building operations, and the maintenance of professional tenant relationships. Key duties include managing insurance compliance, coordinating property initiatives, and assisting with budgeting and financial processing.

Intern, Client Services & Office Leasing

On-site · Toronto

The intern will support the Client Services team by managing client updates, programming, and events, while assisting the Office Leasing team with documentation and floor plan management. They will also act as a liaison for the marketing team and handle various administrative tasks to support leasing operations.

Analyst, Cyber Security

On-site · Toronto

The role involves investigating cybersecurity alerts, coordinating with an external SOC provider, and managing security tools and configurations. Additionally, the analyst will automate repetitive tasks, apply AI for process improvement, and contribute to data security initiatives.

Building Operator

On-site · Toronto

Perform preventative maintenance on HVAC, plumbing, and life safety systems while managing tenant service calls. Oversee building automation systems, manage contractors, and ensure the overall safety and appearance of the property.

Intern, Construction

On-site · Toronto

The intern will support a Project Manager with construction estimating, document control, and project scheduling. Responsibilities include attending site meetings, coordinating with consultants and trades, and assisting with project closeouts.

Intern, Accounts Payable

On-site · Toronto

The intern will be responsible for the daily processing of accounts payable invoices and monitoring the department's email accounts. Additional duties include keying invoices within 48 hours of receipt and obtaining utility invoices online.

Intern, Supplier Enablement

On-site · Toronto

The intern will drive supplier onboarding into procurement tools and provide training to suppliers via phone or webinar. Additionally, they will assist with processing utility invoices and manage communications regarding enablement status.

Intern, Development Accounting

On-site · Toronto

The intern will assist with monthly and quarterly financial reporting, record corporate journal entries, and prepare account reconciliations. Additionally, they will support cash flow forecasting and the preparation of reporting packages for business partners.