£50000.00 - £65000.00 per annum + bonus and benefits
09 July 2021
07 September 2021
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 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.
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.