Senior Analyst (Finance / Portfolio Management) - Real Estate
£60-75k p.a. (depending on experience) + bonus
An exciting opportunity to join a real estate private equity business with exceptional track record in European value add logistics. Backed by top tier institutional investors, the firm currently manages €6 billion AUM and is well-positioned for significant growth at corporate and portfolio level.
This is a varied role, you will provide strategic financial analysis for portfolio management, capital markets (debt) and transaction activity across the business.
Key responsibilities:
* Leading workstreams on portfolio exits, including vendor due diligence, marketing materials, and structuring.
* Preparing portfolio-level returns analysis and fund business plans.
* Monitoring investment performance against underwriting and proposing improvements.
* Conducting gross-to-net return analyses for new deals (fees, taxes, promotes, etc.).
* Consolidating fund-level return forecasts and improving asset-level returns in collaboration with asset management.
* Partnering with the Data Research Team to automate finance and asset-level data.
* Supporting new fundraising efforts, including preparing investor materials and reviewing term sheets.
* Assisting with new financing origination workstreams and internal budgeting/forecasting.
Skills:
* 1-3 years in an analytical, Excel-based role within real estate finance.
* Advanced Excel modelling skills (essential), with proficiency in Microsoft Office (Excel, PowerPoint, etc.).
* Private equity, debt origination, or investment banking experience is preferred.
* European Languages is an advantage.
* Hard-working, entrepreneurial mindset with the ability to thrive in a collaborative environment.