We are representing a privately held family office managing a diversified portfolio across property, private equity, listed markets, and alternative investments.
We are seeking a commercially astute Investment Manager to play a central role in the origination, execution, and management of investments across multiple asset classes in Property asset management & investment.
This is a rare opportunity to work directly with the Principal in a high-trust, high-impact environment, contributing to long-term capital growth and strategic investment decisions.
Key Responsibilities
* Investment Origination & Execution
* Identify and evaluate new investment opportunities across property, private markets, and listed assets
* Lead financial modelling, due diligence, and investment structuring
* Support negotiation and execution of transactions
* Monitor and report on performance across existing investments
* Work closely with operators, asset managers, and external partners
* Identify opportunities to optimise returns and manage risk
* Financial Analysis & Strategy
* Develop sophisticated financial models and scenario analysis
* Provide insights to support capital allocation decisions
* Prepare investment papers and board-level reporting
* Stakeholder Management
* Manage relationships with advisors, fund managers, and project partners
* Coordinate with legal, tax, and finance professionals
* Represent the family office in meetings and negotiations
About You
* 5–10+ years' experience in:
* Strong financial modelling and analytical capabilities
* Demonstrated experience executing transactions end-to-end
* Commercial mindset with the ability to think like an owner
* High level of discretion, professionalism, and integrity
* Comfortable operating in a lean, entrepreneurial environment
Highly Regarded
* Exposure to property investment or development
* Experience across multiple asset classes mainly office
* Background working with HNW individuals, family offices, or private capital
Why Join
* Direct access to decision makers and capital
* Broad exposure across diversified investments
* Long-term investment horizon (not short-term fund pressures)
* High level of autonomy and influence
* Competitive remuneration aligned with performance
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