A global Real Estate Investment Management firm are seeking an Analyst who speaks fluent German to join their Portfolio & Asset Management team, based in Central London.
This opportunity will report into the Head of Portfolio Management for the UK & Europe and will focus on their portfolio based in Germany, consisting of industrial, logistics, offices and data centre assets.
Portfolio & Asset Management Analyst Responsibilities: Collate and provide research support for the European commercial real estate markets.
Monitor and study market trends and their impact on asset performance and integrate these findings into presentable reports.
Undertake ad hoc portfolio and asset analysis projects diligently.
Provide data and analysis to stakeholders within deadlines.
Support in the implementation of asset plans and strategies to maximise investment return.
Prepare budget, forecast and business plans for assets.
Monitor and analyse asset performance and report this to the board.
Create monthly asset management reports.
Conduct any other ad hoc asset or investment analysis or reporting needed by the team.
Key Portfolio & Asset Management Analyst requirements: Degree qualified in Real Estate, Economics or Investment.
Language skills – fluent in both German and English is mandatory.
Proficient user of Microsoft Excel and ability to build financial models.
Excellent numerical, written and communication skills.
Self-motivated and ambitious individual.
Excellent attention to detail, ability to solve problems and work to deadlines.
This is a growth hire which show cases a fantastic opportunity for someone looking to kick start their career within pan-European Real Estate Portfolio & Asset Management.
Salary - £35,000 - £50,000 per annum, plus benefits and discretionary bonus.
Office based in Central London (3 days in the office and 2 days working from home).
If this opportunity is of interest and you have the experience required, please apply with your updated CV.