Associate & Senior Associate- Real Estate Investing

San Diego CA

Company Information

 

  • One of the fastest growing publicly traded partnerships in the industry w/ over $250 B in AUM and 900 employees; firm specializes in Credit
  • Opportunity investing, Private Equity Investing and Real Assets
  • Opportunity is at a newly formed Real Estate Business based in San Diego, CA – current portfolio comprised of $650 M in retail real estate assets, namely, U.S. based single tenant retail assets and grocery-anchored multi-tenant properties
  • Strategic goal is to double portfolio through acquisitions over the next couple of years
  • Small but growing team structure allows for direct exposure to the group’s Partner, Investment Committee and the principal investment vehicle
  • Excellent opportunity to become part of an entrepreneurial team focused on further building a strong market presence

 

 

 

Responsibilities 

 

  • Analyze prospective transactions, including credit analysis, property valuation, evaluation of tenant’s products/management and return analysis
  • Underwrite transactions involving debt assumptions, retirement of debt, and implications to net returns and IRRs
  • Prepare annual budget and monthly corporate cash flow forecast
  • Revise budget weekly to reflect actual timing and results of closing transactions
  • Prepare and present periodic reports to Investment Committee
  • Establish internal processes to maximize efficiency/ensure consistent reporting and presentations
  • Maintain portfolio investment database, including analysis of financial information, ranking of key performance indicators, and mining critical financial/operational data from financials/reports
  • Summarize portfolio opportunities in Excel utilizing demographic and real estate research

 

 

 

Requirements 

 

  • Bachelor’s degree required; 3.5+ GPA concentration in finance or economics preferred
  • 2-7+ years of real estate and/or corporate finance experience (IB, REIT, PE, Asset Management)
  • Strong understanding of financial statements and financial analysis used in underwriting
  • Advanced Excel modeling capability and strong quantitative background
  • Ability to prioritize and manage multiple projects in a timely and efficient manner
  • Works well independently (self-starter) as well as within a team environment
  • Superior oral and written communication skills including strong presentation skills
  • Dedicated work ethic, intellectual curiosity, accuracy and attention to detail
  • Entrepreneurial mindset; eagerness to work on a variety of assignments
  • High proficiency in Word and PowerPoint

 

 

 

 

Note: Qualified candidates will be contacted within 2 business days of application. If an applicant does not meet the above criteria, we will keep your resume on file for future opportunities and may contact you for further discussion.

Date Posted 8/8/2018
Salary Open






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