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Analyst/Associate - Real Estate & NPLs Portfolio Management

The Role

Using analytical and commercial skills the successful candidate will be responsible for valuing the company's investments of the fund on a quarterly basis The role included fund reporting, including consolidation of investment information as well as responding to ad-hoc investment and fund-level queries (including scenario analysis).

Key responsibilities;

  • Modelling portfolios of NPL's, Real Estate 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 and refinancing

  • 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

  • Analysing financial and management reports and large data sets

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 but not a prerequisite

  • Some Real Estate experience is required

  • Comfortable with large data sets

  • Ability to work under pressure and manage deadlines, solutions-orientated and focused upon delivering results

  • Highly motivated, proactive, and detail-oriented

  • Ability to take initiative and predict requirements

  • Excellent written and oral communication skills; can effectively convey relevant and salient information

  • 'Can do', 'team player' attitude. Flexible, dependable, and cooperative.