Our REPE client is in a significant growth phase, building up an exceptional, pan European logistics portolio. This exciting new role has been created to assist across both asset management and transaction analysis.
You will be responsible for managing, analysing, and optimizing a diverse portfolio of MLI and big box, industral real estate assets. This role requires a detail-oriented and strategic thinker who can perform in-depth market analysis, financial modelling, and portfolio management to support the organisation’s real estate investment and asset management strategies.
Key Responsibilities
- Portfolio Management: Working with the Asset Management Team, oversee and manage the performance of the real estate portfolio, ensuring alignment with investment goals and strategies.
- Financial Modelling: Develop and maintain financial models to evaluate the performance of current assets, asset pools and the portfolio across the capital stack.
- Investment Analysis: Work with the Investment Team to analyse new investment opportunities, including due diligence, financial analysis, and risk assessment. Assist with the preparation of Investment Commitee approval papers.
- Portfolio analysis: Work with the Asset Management and Finance Teams to evaluate value-add initiatives across the portfolio including scenario analysis on tenant proposals, hold/sell analysis and debt re-sructuring. Assist with the preparation of approval papers.
- Portfolio analytics: provide ad-hoc portfolio data and analysis to key stakeholders and investors.
- Reporting: Work with the wider team to produce quarterly reports, annual asset business plans (and quarerly updates) and portfolio performance for senior management and stakeholders.
- Market Analysis: Conduct comprehensive market research and analysis to identify trends, opportunities, and risks in the real estate market and its impact on the portfolio.
- Asset Optimization: Identify opportunities to enhance the value and performance of real estate assets through strategic initiatives and operational improvements.
- Data Management: Maintain accurate and up-to-ate records of all portfolio activities, transactions, and performance metrics.
- Work with the Investment Team to enhance our in-house analytics technology and BI outputs.
- Collaboration: Work closely with internal teams, including finance, legal, and operations, as well as external partners such as property managers, brokers, and consultants.
Required Qualifications
- Bachelor’s degree in mathematics, engineering, finance, economics or a related field.
- A master’s degree or professional certification in real estate is a plus.
- Experience: Minimum of 3-5 years of experience in real estate portfolio management, investment analysis, or a related field.
- Technical Skills: Proficiency in financial modelling, data analysis, and real estate valuation techniques.
- Advanced knowledge of Microsoft Excel is required.
- Analytical Skills: Strong analytical and problem-solving abilities, with a keen eye for detail and accuracy.
You will be working in a fast paced and dynamic environment alongside entreprenurial and motivated colleagues. This is an exceptional and rare opportunity to join a business at an early stage of its genesis.