Sr. Associate, Real Estate Portfolio Management

1 month ago


New York, United States Coda Search│Staffing Full time

We are currently partnered with a $60B AUM global real estate fund that is looking to make an addition to their real estate portfolio management team. This firm has a significant presence across North America and Europe and is known for providing it's employees with opportunities for career development and progression.


In this role you'll help develop portfolio strategy, guiding asset-level strategies, conducting valuations, and ensuring optimal performance across a diversified real estate portfolio that includes industrial, office, retail, multifamily, and hotel properties. This is a highly dynamic role where you'll work closely with acquisitions, asset management, and operations.


Key Responsibilities:

  • Portfolio Strategy & Management: Develop and execute strategic plans for the real estate fund, aligning with overall investment objectives. Regularly review portfolio composition and performance, adjusting strategies to achieve risk-adjusted returns.
  • Asset Strategy Guidance: Collaborate with asset management teams to create, implement, and refine asset-specific strategies that align with the overall portfolio strategy. Ensure strategies consider market conditions, asset positioning, and long-term performance goals.
  • Valuation & Financial Analysis: Conduct and oversee regular asset valuations, ensuring accurate assessment of property value across the portfolio. Use financial modeling and analysis to support valuation processes and guide decision-making.
  • Investment Research & Market Analysis: Conduct in-depth research on real estate trends, macroeconomic indicators, and market conditions to support portfolio decisions. Prepare regular reports and presentations with actionable insights for senior leadership.
  • Portfolio Maintenance: Manage ongoing portfolio monitoring, including performance tracking, risk assessment, and compliance with regulatory and internal standards. Ensure all assets are aligned with the firm’s investment thesis and objectives.


Qualifications:

  • Bachelor’s degree in Real Estate, Finance, Business, or a related field; advanced degree or CFA designation preferred.
  • 5-8 years of experience in Portfolio Management, Asset Management, Real Estate Finance, or a similar role, ideally within institutional real estate investment.
  • Strong understanding of real estate asset classes including industrial, office, retail, multifamily, and hotel properties.
  • Proven expertise in financial analysis, asset valuation, and investment research.
  • Excellent communication skills, with the ability to engage effectively with internal and external stakeholders.
  • Proficiency in financial modeling, (Excel, ARGUS, PowerPoint)



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