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.