Senior Property Portfolio Analyst
This is a pivotal role within the organisation, focusing on delivering insightful financial analysis and reporting across a diversified property portfolio.
1. Fund performance enhancement through strategic decision-making and asset management initiatives.
2. Development and maintenance of sophisticated financial models for diverse property assets, ensuring accuracy and reliability by refining and updating distribution forecast models.
3. Preparation of comprehensive financial data and written reports to support Information Memoranda, investor communications, board papers, and presentations, providing critical insights that inform decision-making.
The ideal candidate will possess strong organisational and financial skills, supported by a degree in Business, Property, Finance, Economics, or a related field, with at least four years of relevant property or investment analysis experience. They should demonstrate proven expertise in financial modelling, valuations, transactions, and investment appraisal techniques, along with advanced Excel skills and a proactive approach to enhancing modelling capabilities.
Strong problem-solving abilities, excellent attention to detail, and the ability to manage complex financial data are essential. The role requires effective communication skills and the capacity to collaborate with diverse stakeholders, underpinned by strong commercial acumen, a hands-on approach, adaptability, and an innovative mindset.