Complex financial modelling work on new investment acquisitions, as well as on ongoing asset management and development decision making processes
Maintaining cash flows of existing assets under management
Writing investment summaries and property reports
Underwriting and due diligence of specific investment opportunities
Analyzing the viability of asset and development management initiatives and monitoring the ongoing performance of investments
Preparation of monthly and quarterly reports to banks and investors
Required Knowledge, Skills, and Abilities
Financially numerate with excellent working knowledge of MS Excel, including the ability to build a cash flow from scratch which incorporates equity and debt
First class written and numerical presentation skills and confident use of MS PowerPoint
Total commitment to high standards with a particular focus on attention to detail
Professional and positive attitude
Good organizational skills and ability to run a variety of tasks at once