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Analyst position for the Real Estate Debt Team. Invest in investment and non-investment grade debt backed by prime commercial property assets within Europe and North America.
The role will provide opportunities to work across the acquisition and asset management lifespan. With day to day responsibilities including:
Research, analysis, underwriting and evaluation of a variety of real estate debt opportunities.
Compilation of industry, market and asset level data and financial information.
Building complex dynamic financial models to analyse investment opportunities (reviewing debt structures, relevant debt underwriting parameters and specific assets using financial models and a variety of quantitative analytical tools to test assumptions and sensitivities).
Detailed underwriting and transaction management activities including past and projected investment performance; sponsor evaluation; investment merits and risks, expected returns and sector dynamics as well as assist in the evaluation, structuring and execution of investment recommendations and review legal documentation and closing activities.
Production of detailed deal specific investment memoranda for transaction recommendations to credit committees and other relevant lines of approval.
Participation in portfolio management activities including monitoring and evaluating the investment portfolio performance, participating in third party meetings, and analysing proposed budgets, capital plans and other investment recommendations.
Analyst position: 1-3 years of full-time experience.
Relevant work experience in the real estate and/or investment industries
Demonstrable passion for principal investing
Strong research, quantitative, financial modelling, and analytical skills
Strong interpersonal and communication skills (written as well as verbally)
Demonstration of adaptability, flexibility and initiative