Job Title
The Asset Management Analyst position is responsible for providing analytical support and reporting to drive the performance of a growing portfolio of Real Estate assets across multiple asset types and locations. The role involves transitioning the asset management platform to a structured, consistent, and scalable model.
Key Responsibilities:
1. Provide analytical support across the portfolio by building and maintaining financial models to ensure consistency and quality of data.
2. Assist in developing asset and portfolio business plans, then highlight performance against those plans throughout the year, identifying key risks and opportunities.
3. Support capital events, including refinancings, dispositions, equity recapitalizations, and acquisitions.
4. Collaborate with internal capital raise teams on potential new deal underwriting, leveraging knowledge of market and internal income and operating expense data.
5. Maintain understanding and ensure compliance of relevant partnership agreements, loan covenants, and other contracts.
6. Work closely with property management teams to obtain timely operating performance data and provide individual and consolidated reporting.
7. Develop an understanding of local market conditions and provide strategic analysis for maximizing profit and minimizing risk.
8. Provide ongoing portfolio-wide analysis and optimize revenue, identify new income streams, and reduce expenses within a portfolio.
9. Guide capital improvement projects, unit renovations, leasing activities, marketing initiatives, and revenue enhancement alternatives.
10. Collaborate with internal functions groups to enhance operational excellence and performance across the portfolio.
Requirements:
* Bachelor's degree required, ideally in real estate, finance, business, or a related field.
* 2-4 years of real estate investment or asset management experience, including involvement in operational, asset, and portfolio strategies.
* Strong proficiency in Argus, Microsoft Excel, and PowerPoint.
* Possess strong analytical and problem-solving skills, with a demonstrated ability to interpret complex financial models.