ASSOCIATE, PORTFOLIO MANAGEMENT (REAL ESTATE) ASSOCIATE, PORTFOLIO MANAGEMENT (REAL ESTATE) …

.Not Disclosed.
in London, United Kingdom
Permanent, Full time
Last application, 20 Oct 20
GBP50000 - GBP60000 per annum
.Not Disclosed.
in London, United Kingdom
Permanent, Full time
Last application, 20 Oct 20
GBP50000 - GBP60000 per annum
Altus Partners have partnered with a Global Leading Alternative Asset Manager who is looking to add to their Portfolio Management team. The business has recently entered the FTSE 100 and manages 50 billion AUM across a range of different investment strategies including; private and public debt, private equity and real assets. This organisation has more than doubled its AUM and people over the last decade.

THE SEARCH:

Altus Partners have partnered with a Global Leading Alternative Asset Manager who is looking to add to their Portfolio Management team. The business has recently entered the FTSE 100 and manages 50 billion AUM across a range of different investment strategies including; private and public debt, private equity and real assets. This organisation has more than doubled its AUM and people over the last decade.

THE ROLE:

  • New business onboarding & review
  • Monitoring receipt of borrower reporting every quarter
  • Input income & costs into a standard ICGL format for reporting purposes.
  • Ensuring that loan facilities are performing following the terms of the loan agreement
  • Monitoring delivery of property-level business plans against the underwritten position
  • The monitoring risk profile of each loan portfolio against Fund level investment restrictions
  • Performing regular analysis of portfolio at loan, property asset and tenant-level
  • Verification of reported income to bank statements
  • Investigate anomalies in reported income with Borrowers and explain/resolve
  • Calculate financial covenants and check results against the Borrower's compliance certificate
  • Complete a standard ICGL format asset management review
  • Check other risk-based requirements
  • Preparing quarterly reports for Asset Management Committee on portfolio risk profile and loan performance Assessment and presentation of tenants' / prospective tenants' financial statements and credit status as necessary.
  • Preparing investor reports and ad-hoc reports for senior management as required;
  • Feedback to the Head of Credit Risk on the portfolio
  • Manage the portfolio risks and reporting
  • Elevation of omissions, inaccuracies and potential threats
  • Managing borrower consent process including assessment of financial statements of new tenants proposed by Borrowers where material exposure is requested
  • Liaising with Fund professionals as required, including administrators and auditors
  • Support and assist the front office relationship managers with structuring, problem-solving, issues and guidance at first level
  • Foster positive and supportive relationships with the front office relationship managers, clients and service providers whilst maintaining responsibility for good credit stewardship and high governance standards at all times.
  • Work with the deal team to arrive at sensible commercially compelling solutions that protect the relevant Fund's interests.

CANDIDATE REQUIREMENTS:

  • Qualification: FRICS, ACIB, ACCA
  • 3+ years in either/and: 1. Real Estate 2. Banking 3. Asset Management 4. Preference for real estate within 2 & 3 above
  • University degree or equivalent
  • European Languages, preferably French
  • Key Skills: Credit & Financial Analysis
  • Proficient with excel and experience of working with finance software
  • Good verbal and written communication skills
  • High personal/professional ethics and integrity
  • Strong attention to detail
  • Ability to work well under pressure to tight deadlines and to deliver high-quality output in line with requirements, often defined by others

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