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Analyst, Real Estate Debt Asset Management - JN-73948

This is an opportunity to join a multi $bn global real estate investor which are active across direct assets, unsecured loans, residential and commercial loans (performing and non-performing). They operate across various European markets and this is an Analyst role focusing on the AM of all their transactions.

The Role

The business is seeking a dynamic Analyst to support the effective management of pan-European real estate assets and loan portfolios through analysis and assessment of the investments. As part of a small team, the successful candidate will work closely with all members of the senior team to deliver on the business plans of existing and new portfolios.

Key responsibilities include:

  • Modelling portfolios of non-performing and performing loans for valuation and business planning.

  • Modelling Mezz loans and Equity Investments for valuations and business planning.

  • Liaising with Asset Management teams and running various scenarios including exit analysis, refinancings etc.

  • Both ad-hoc and regular analysis and reporting on both the investment and fund level including requests from CEO, external investors and fund partners.

  • Deal and Fund reporting development and maintenance.

The Candidate

  • Strong Excel cashflow modelling skills are essential.

  • Experience working with normalised databases, structured references and data models.

  • NPL experience is a significant benefit.

  • Real Estate experience is a plus.

  • Comfortable with large data sets.

  • Bachelor's degree in Finance, Economics, Mathematics or related business field preferred.

  • Fluent in spoken and written English language.