We are seeking a Portfolio Manager to join a dynamic Debt Fund. You will play a crucial role in analyzing and evaluating property lending opportunities across the entire product set, assessing risks, and providing financial insights and recommendations to support investment decisions. Your expertise in financial modeling, market research, and risk assessment will be key to the successful execution of transactions and contribute to the business' ambitious growth plans.
What You’ll Be Doing
1. Conducting thorough financial and property analysis of potential lending opportunities, including investment returns, cash flow projections, and risk assessment.
2. Preparing financial models to evaluate the viability and profitability of investments and projects.
3. Performing market research and due diligence to identify potential investment opportunities and assess their competitive landscape.
4. Evaluating financing options and structures, considering factors such as loan terms, interest rates, and potential financial risks.
5. Preparing detailed reports, investment summaries, and presentations to communicate analysis findings and recommendations to senior management and stakeholders.
What You’ll Need
1. Several years’ experience with an alternative lender, real estate developer, or bank.
2. Solid understanding of real estate investment principles and bridging/development finance.
3. Excellent analytical and problem-solving abilities, with the ability to interpret complex financial data and make sound recommendations.
4. Strong knowledge of market research methodologies and data analysis techniques.
5. Familiarity with property financing instruments, including debt and equity structures.
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