LI-DNI Team Overview: This position is with LaSalle Investment Management’s UK Custom Accounts team (the “Team”), a specialist fund management business unit managing predominantly Core and Core UK property portfolios, with each portfolio and strategy individually tailored by property sector/type, geography, target returns, risk, and liquidity needs. Role: The role will be primarily focused on supporting Portfolio Managers in the Team with their day-to-day investment management responsibilities. The candidate will be responsible for undertaking portfolio and property level financial analysis, coordinating portfolio administration, and assisting Portfolio Managers with setting and implementing investment strategies. The candidate will support Portfolio Managers with cash flow modelling and performance measurement, as well as preparing materials for external client reports, presentations, and strategy documents, and internal investment committee discussions. The role will also involve supporting the Transactions team in analysing, underwriting, and presenting potential acquisitions for the Team‘s mandates. The role will involve liaison with other LaSalle teams (Sustainability, Transactions, and Research & Strategy) and JLL teams (Asset Management and Finance). Accountabilities: Regular and ad hoc portfolio and property level financial analysis to assist Portfolio Managers with decision making and investment strategy implementation. Coordination and preparation of external client reports, presentations, and strategy documents, as well as internal investment committee materials. Portfolio administration and management of processes, through liaison and coordination with LaSalle/JLL departments and external counterparties/suppliers (e.g., clients, valuers, performance measurers, consultants, auditors, etc.) Provision of support to the Transactions team on analysing, underwriting, and presenting potential acquisitions, and to the Team on investment management workstreams pertaining to existing AUM under the Team’s remit (including cash flow modelling, preparing business plans, buy/hold/sell analysis, reporting, and performance measurement). Required Qualifications & Experience: Strong academic degree qualifications. 2-4 years of experience. Prior work experience in real estate or investment management. Understanding of property fundamentals across a wide range of sectors, as well as a strong interest in real estate investment. Must be proficient with Argus Enterprise / Excel financial modelling and experienced in PowerPoint. Strong attention to detail and analytical rigour is key to the role. Strong time management skills with ability to prioritise and work on a variety of projects simultaneously. A team player who is self-motivated with excellent communication skills, strong work ethic and positive attitude. LaSalle is an Equal Opportunity Employer and encourages applications from all sections of the community J LL Privacy Notice Jones Lang LaSalle (JLL), together with its subsidiaries and affiliates, is a leading global provider of real estate and investment management services. We take our responsibility to protect the personal information provided to us seriously. Generally the personal information we collect from you are for the purposes of processing in connection with JLL’s recruitment process. We endeavour to keep your personal information secure with appropriate level of security and keep for as long as we need it for legitimate business or legal reasons. 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