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Rotational Analyst Program: Unlocking Commercial Real Estate Opportunities
2 months ago
A leading global investment firm, Affinius Capital invests across the risk spectrum for a diverse client base, managing over $31 billion in net assets under management within a diversified portfolio across North America and Europe. Our firm provides strategic equity and debt capital to capitalize on the accelerating demand for technology-driven real estate assets, meet the critical need for housing solutions, and for other market and capital structure opportunities exhibiting compelling risk-return characteristics.
Rotational Program OverviewThe Rotational Program is a two-year intensive program designed to offer a hands-on learning experience, the ability to gain exposure to multiple disciplines within the firm, and the opportunity to make a meaningful impact. Throughout the program, rotational employees will have the opportunity to interface with senior leaders, be mentored by industry experts, and work closely with seasoned professionals.
Program Structure- The program includes rotating through four departments: Acquisitions, Capital Markets, Development, and Asset Management.
- Rotational employees will spend approximately six months in each area, gaining an in-depth understanding of financial concepts, financial analysis, underwriting, valuations, property and portfolio reporting, due diligence, and much more.
- The Investments department is responsible for sourcing new real estate investment opportunities, including evaluating potential investments, conducting financial analysis and underwriting, submitting offers, negotiating the purchase terms, performing due diligence, and closing on the transaction.
- The Development department oversees the design, development, and construction of real estate properties, including preliminary transaction underwriting, preparation of investment briefs, market feasibility analysis, coordination and execution of the due diligence process, tenant/client interaction, site acquisition, permitting, financing, and oversight of development partners, contractors, and other third-party vendors until construction completion.
- The Asset Management department ensures the superior operational performance of the real estate assets in the portfolio, striving to generate strong net operating income and maintain high occupancy levels to maximize value creation at the asset level.
- The Capital Markets department is responsible for all aspects of debt financing for assets within the portfolio, including sourcing, underwriting, approving, and closing on both permanent financing and construction loans. Capital Markets also oversees the lending platform, which originates first mortgages to third-party borrowers and hedging activities with interest rate swaps.
- The Portfolio Management department manages the various funds and separate accounts that hold the individual real estate investments, including managing the overall strategy of the fund, determining optimal asset allocation, cash management, and distribution activities, fund modeling, hold/sell analysis, compliance, and interaction with current and prospective investors.
- Pursuing or has received a Bachelor's degree in Real Estate, Finance, Economics, or a related field.
- Graduation date must be between December and May 2025.
- Excellent academic background with a cumulative GPA of 3.0 and above. GPA of 3.5 and above preferred.
- Demonstrable interest in the commercial real estate industry and in Affinius Capital.
- Must be interested and willing to relocate to San Antonio, TX for the two-year duration of this program.
- Understanding of basic finance concepts and how to calculate metrics such as internal rate of return, and net present value/discounted cash flow.
- Computer proficiency and demonstrated experience with financial modeling in Excel.
- Familiarity with Argus Enterprise is a plus.
- Must be willing to work on-site full-time.