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Real Estate Asset Management Analyst

  • Compensation: 80,000 - 95,000 yearly Plus Bonus
  • Location: New York, New York
  • Type: Perm
  • Job #6290

A global Real Estate investment firm is looking for an Analyst to join their Asset Management team. 

  • Collaborate with investment teams on deal level valuations and projections, including the understanding of key inputs and drivers of investment performance
  • Update the model with all deal inputs and assumptions, reviewing the mechanics in detail to ensure the model is working as intended and troubleshooting/fine-tuning model formulas as needed
  • Review and understand deal specific promote structures and model out the waterfall calculation relating to the economic split between firm and Operating Partner
  • Assess the reasonableness of the model output based on qualitative and quantitative factors
  • Aggregate deal level projected economics to compute fund and portfolio level estimated returns
  • Layer in fund level expense and capital activity assumptions
  • Model out the fund level waterfall, including the LP preferred return and GP catch-up/incentive fee provisions to ultimately derive the economic split between the LP and GP
  • Report the fund level gross and net returns to Executive Management for sign off and Marketing for use in investor materials
  • Portfolio debt and leverage monitoring as well as tracking portfolio wide diversification
  • Ad hoc Portfolio Manager requests and analyses
  • Support group wide on-going IT initiatives to drive efficiencies
  • Maintain a well-organized, accurate and comprehensive database with historical and projected granular deal specific information, including leasing statistics, tenant information, capital budgets, operational performance and debt metrics/data points, among other items
  • Prepare analyses using the data warehouse to derive insights across different subsets of the portfolio (e.g., property type, region, etc.) on a regular and ad hoc basis
  • Research trends and patterns in the portfolio that can be leveraged as both diagnostic and predictive insights
  • Compare internal statistics against market sources to determine performance relative to the broader market
  • Work with property technology services to track and manage leasing and other initiatives (i.e., VTS)
  • Review property level financial performance including budget to actual within the Workspace platform including ensuring the integrity of the data received
  • Assist in the integration of new acquisitions on both the VTS and Workspace platforms
  • Preparation of recurring investor/consultant requests and questionnaires consisting of investment and fund level performance data
  • Provide financial data and track record information for marketing materials
  • Prepare, analyze and report real estate performance ratios
  • Assist in preparation of materials for the annual advisory board/investor conference presentations and quarterly investor packages
  • Work closely with the investment teams and investor relations group on various requests
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