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o Assist with the analysis of potential lending opportunities to include cash flow modelling, property valuations, investment analyses (IRRs, sensitivity tables, etc.) and structuring. o Assist with the review of the valuation and MI to ensure they tie with ECDI's modelling assumptions. o Utilise any additional information sourced by the rest of the deal team to adjust underwriting o Work with the team to assemble the investment committee reports and compile supporting documents.
Post Closing & Loan Management:
o Work with the Head of Property to complete the Post Acquisition/Quarterly reports for investors. o Conduct ongoing quantitative and qualitative analyses to support decision making relating to the respective sponsor's business plan. o Attend quarterly management meetings with the Head of Property.
Fund Performance Monitoring:
o Track loan performance by updating the quarterly IRR model, preparing quarterly and annual loan reviews and investor reports. o Ensure that the relevant final documentation is provided to the loan servicer, ECP finance team and correctly filed on the ECDI systems.
1-2 years real estate finance / structured finance / syndication experience
Minimum II.i degree
Strong proficiency in Excel and other Microsoft Office applications, including Microsoft PowerPoint
Strong communication skills including writing/composition, oral, and listening skills
Demonstrable real estate and credit experience
Must possess a good attitude, excellent attention to detail, professionalism, and a sincere interest in real estate finance