A growing fund in Midtown is looking for a Real Estate Asset Management Senior Associate. The role will be responsible for the strategic oversight and management of a diverse portfolio of real estate assets. This role requires strong analytical skills, advanced financial modeling capabilities, and a deep understanding of real estate markets. The ideal candidate will have a proven track record in portfolio analysis and asset management, with a keen eye for identifying opportunities to enhance value and drive performance.
Key Responsibilities
Portfolio Analysis:
- Conduct detailed analysis of property performance, market trends, and investment opportunities.
- Develop and maintain complex financial models to support asset valuation, cash flow forecasting, and scenario analysis.
- Prepare comprehensive asset management reports and presentations for senior management and investors.
Asset Management:
- Oversee the day-to-day management of assigned real estate assets, ensuring alignment with investment strategies and objectives.
- Collaborate with property managers, leasing agents, and other stakeholders to optimize property performance and achieve financial targets.
- Monitor and evaluate asset performance, identifying areas for improvement and implementing value-enhancing strategies.
Financial Modeling:
- Create and maintain detailed financial models for individual assets and the overall portfolio.
- Perform sensitivity analysis and stress testing to assess the impact of various scenarios on asset and portfolio performance.
- Support acquisition and disposition activities with robust financial analysis and modeling.
Strategic Planning:
- Develop and execute strategic asset management plans, including capital expenditure budgeting, leasing strategies, and disposition plans.
- Identify and evaluate potential investment opportunities, providing recommendations to the investment committee.
- Assist in the preparation of annual business plans and budgets for the portfolio.
Reporting and Compliance:
- Ensure compliance with all regulatory and fund requirements, including timely and accurate reporting.
- Maintain up-to-date knowledge of industry trends, market conditions, and regulatory changes.
- Prepare and present regular performance reports to senior management and investors.