Background
We’re partnering exclusively with a dynamic, pan-European Real Estate Investment Manager to appoint an Portfolio & Asset Management Analyst for their team in London. Focussing primarily on the industrial sector and taking a data-driven approach, our client invests across the risk curve with a growing portfolio spanning several key European markets.
Role
The Analyst will have a broad role, primarily supporting Portfolio & Asset Management. Responsibilities will be varied, ranging from ownership of data & processes across the aforementioned teams to preparing annual business plans and liaising with external stakeholders such as brokers, property managers and operating partners. Analytical and quantitative capability are central to all areas of the business.
What We’re Looking For:
- Strong academic track record, with a high level of numeracy. Likely with a degree in real estate. finance, economics, engineering, or data science.
- Prior experience (or internships) at an established real estate investment firm.
- Strong analytical skills with the ability to forensically analyse data and the ability to grasp new and complex ideas quickly.
- Advanced Excel, PowerPoint and data manipulation skills, including the ability to navigate financial models and data-sets.
- Fluency in English required; additional European languages desirable.
- Comfortable working within a collaborative, primarily in-office culture alongside a talented, friendly team.
Why Apply?
- Outstanding opportunity to learn from talented colleagues and a top-tier leadership team with a proven track record in real estate.
- Be part of a driven, ambitious and active business with exciting growth plans.
- Gain exposure to various areas of the business, with the opportunity to gradually take on more responsibility as you develop.
- Diverse, International team representing a wide range of nationalities. Vibrant, central London office location.