The company is a top tier real estate private equity firm investing across Europe.
Responsibilities
- Corporate finance and debt modelling on new acquisitions;
- Assisting with cashflow optimization/working capital requirements across multiple investments;
- Monitoring investment performance vs. underwriting and suggesting improvements;
- Managing and developing relationships with lenders;
- Assisting with portfolio management/returns analysis;
- Updating Fund and individual Investment business plans across value-add investments;
- Consolidated Fund Model Return Forecasting (i.e. consolidating individual investment business plans into a fund model);
- Working with asset management to improve asset level returns;
- Working on portfolio exits and corporate finance opportunities.
The Candidate:
- 2-4 years of work experience in an analytical / excel-based role
- Technically advanced excel modelling skills – building, improving and running cases within excel models (essential)
- Real estate background (preferred)
- Native French speaker (preferred)
- Microsoft office skills (Excel, PowerPoint etc.)
- Private equity, debt origination or investment banking experience (preferred)
- Hard-working with an ability to work in an entrepreneurial, collaborative environment