At a Glance
- Tasks: Lead a team in financial planning, portfolio management, and strategic decision-making.
- Company: Join a top real estate investment manager expanding across Europe.
- Benefits: Enjoy a high-profile role with significant responsibility and potential for growth.
- Why this job: Be at the forefront of strategic decisions impacting real estate investments and development.
- Qualifications: 8+ years in European property, CFA/ACA qualifications, and exceptional Excel skills required.
- Other info: This is a 9-12 month fixed-term contract with opportunities to influence major projects.
The predicted salary is between 72000 - 100000 £ per year.
A 9-12 month contract in Real Estate Investment Management. The company is a leading real estate investment manager of assets comprising investment and development stock across multiple European countries and is expanding into new territories following a recent mandate with a large sovereign investor.
This is a high profile role supporting the C Suite, senior management, investors and lenders during the ongoing expansion of the business. You will be responsible for leading a team of analysts in developing and managing Financial Planning (FP&A), Portfolio Management, Strategy and Debt transactions. The role carries a high level of personal responsibility, is investor facing and is a key link between the asset management, development, finance and investment teams, supporting strategic decision making through asset/portfolio level modelling, cashflow forecasting and debt management.
Responsibilities:
- Partnering with asset management, finance and investment teams as well as coordinating external property managers, leasing agents and valuers.
- Value add analysis and reporting on commercial lease proposals and transaction/investment opportunities.
- Analysis for and preparation of all data requests for quarterly external fund and bank valuations, alongside relevant members of the investment and asset management team.
- Support the asset management and development teams on ESG reporting and analysis.
- Work with the COO and CFO in the design and execution of an improvement roadmap for the platform, including exploring new technology where appropriate.
- Maintaining visibility of leasing events, debt transactions and covenant testing, reporting deadlines.
Skills & Experience needed:
- Exceptional Excel and financial modelling skills, as well as high proficiency in PowerPoint.
- Professional qualifications within a relevant property or finance background - CFA, ACA, or a Masters Degree.
- 8+ years relevant work experience in the European property industry.
- Strong analytical skills and commercial acumen, coupled with the ability to think laterally to make and explain considered recommendations to colleagues, board members, clients, investors and lenders.
Contact Detail:
Strand Hill Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Director - Portfolio Management (Fixed Term Contract)
✨Tip Number 1
Network with professionals in the real estate investment sector. Attend industry events, webinars, or local meetups to connect with individuals who may have insights into the role or the company. Building relationships can often lead to referrals or insider information that could give you an edge.
✨Tip Number 2
Familiarise yourself with the latest trends and challenges in the European property market. Being well-versed in current issues will not only help you during interviews but also demonstrate your commitment and understanding of the industry.
✨Tip Number 3
Prepare to discuss your experience with financial modelling and portfolio management in detail. Be ready to provide examples of how you've successfully led teams or projects in the past, as this role requires strong leadership and analytical skills.
✨Tip Number 4
Research StudySmarter's values and culture. Understanding our mission and how we operate can help you align your responses during interviews, showing that you're not just a fit for the role, but also for our team.
We think you need these skills to ace Director - Portfolio Management (Fixed Term Contract)
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights your experience in real estate investment management, particularly any roles that involved financial planning, portfolio management, or working with C-suite executives. Use specific examples to demonstrate your skills and achievements.
Craft a Compelling Cover Letter: In your cover letter, express your enthusiasm for the role and the company. Discuss how your background aligns with the responsibilities outlined in the job description, especially your experience in leading teams and managing financial models.
Highlight Relevant Qualifications: Clearly list your professional qualifications such as CFA, ACA, or relevant Master's degrees. Emphasise any certifications or training that relate directly to the skills required for this position, like advanced Excel and financial modelling.
Showcase Analytical Skills: Provide examples of past projects where you demonstrated strong analytical skills and commercial acumen. Mention specific instances where your recommendations led to successful outcomes, particularly in the context of asset management or investment opportunities.
How to prepare for a job interview at Strand Hill
✨Showcase Your Financial Modelling Skills
Given the emphasis on exceptional Excel and financial modelling skills, be prepared to discuss specific examples of your past work. Highlight any complex models you've built and how they contributed to strategic decision-making.
✨Demonstrate Your Analytical Acumen
The role requires strong analytical skills and commercial acumen. Prepare to discuss how you've used data analysis to drive business decisions in previous roles, particularly in the real estate sector.
✨Prepare for Investor-Facing Scenarios
Since this position is investor-facing, think about how you would communicate complex financial information to non-financial stakeholders. Practice explaining your past experiences in a clear and concise manner.
✨Understand ESG Reporting
With responsibilities including ESG reporting and analysis, brush up on current trends and regulations in this area. Be ready to discuss how you've integrated ESG considerations into financial planning or portfolio management in the past.