At a Glance
- Tasks: Manage loans in real estate debt, from origination to repayment.
- Company: AXA IM is a leading global asset manager with a focus on long-term investments.
- Benefits: Enjoy a hybrid work model and a culture that values diversity and innovation.
- Other info: Opportunity to work in a fast-paced environment with a focus on personal growth.
- Why this job: Join a dynamic team making an impact in the real estate sector while growing your career.
- Qualifications: Ideal candidates have experience in financial institutions and strong analytical skills.
The predicted salary is between 48000 - 84000 £ per year.
Job Description
Loan Asset Manager, Real Estate Debt
22 Bishopsgate, London - Hybrid
Permanent Contract
At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.
As a future Loan Asset Manager, you will report to the Head of FMCG Private Debt, and you will be part of AXA IM Alts - Real Estate.
DISCOVER your opportunity
AXA Investment Managers (AXA IM) is a multi-expert asset management company within the AXA Group, a global leader in financial protection and wealth management. AXA IM is one of the largest European-based asset managers with approximately ₠830bn in assets under management as of the end of September 2020. AXA IM employs 750 investment professionals around the world and operates out of 15 investment centre's.
Given its growth prospects, the Commercial Real Estate & Infrastructure Fund Management Controlling Group team of AXA IM - Real Assets is looking for a Loan Asset Manager, to join either its London or Paris office. The team is a market leader in Commercial Real Estate debt with more than $24bn AuMs in Europe and US and a 15 years track record. We are looking for a dynamic, rigorous, motivated team-player to be part of our expanding fund management and controlling team. The candidate would have previous experience in real estate debt such as in a real estate loan servicer or in a loan portfolio or asset management team within a bank or a real estate debt fund.
The role will focus on the Loan Asset Management of loans in Europe across different real estate asset classes, geographies and risk profile (core to value add / development financings).
The candidate will follow the loans from closing through its entire life including restructuring, refinancing, extensions etc.
You will be part of a team of more than 10 professionals interacting with the Fund Management team and other internal teams (client relationships and risk teams) and third parties (banks, borrowers, facility agents, legal advisors etc).
The successful candidate will be required to adapt as the FMCG function evolves and to assist in the role-out of an ongoing systems/controls/processes upgrade in line with the growth of the platform.
About AXA
Would you like to wake up every day driven and inspired by our noble mission and to work together as one global team to empower people to live a better life? Here at AXA we strive to lead the transformation of our industry. We are looking for talented individuals who come from varied backgrounds, think differently and want to be part of this exciting transformation by challenging the status quo so we can push AXA - a leading global brand and one of the most innovative companies in our industry - onto even greater things.
In a fast-evolving world and with a presence in 64 countries, our 166,000 employees and exclusive distributors anticipate change to offer services and solutions tailored to the current and future needs of our 103 million customers.
What we offer
We are proud to foster a high-performance culture, which means that we seek to recruit and retain people who are not only technically-skilled but also globally-minded, innovative and able to leverage their unique perspectives and life experiences to support our success as a company. AXA IM is committed to building an inclusive culture, valuing diversity and supporting the career progression of all employees.
Your role and responsibilities will include:
Loan Asset Management: You will monitor the performance and the evolution of the Commercial Real Estate Debt investments from origination until their repayment. The main tasks include: following up interest payments, utilisation requests and repayments, handling consents, modifications, and waivers from our borrowers in coordination with the Fund management team, review of the loans' performance through tracking of key financial covenants (LTV, LTC, DSCR, Debt Yield), review of asset valuations, update of cash flows and tenancy schedules and monitoring of operational aspects of the assets being financed (such as capex programmes, ESG metrics).
Deal Execution and Asset Management:
- Provide deal support, including financial analysis and execution of deal cashflows, create tailored cash-flows/valuation models to simulate various scenarios ;
- Monitor cash and manage cash distribution process ;
- Review capital call and distribution notices and cash allocation schedules ;
- Review property level reporting, budget, tenancy schedules, etc. from property managers and asset managers ;
- Liaise with deal team to ensure agreement of funding / distributions ;
- Closings: guidelines check, validation of deal allocation, KYC preparation, ensuring payments / investments properly processed and received ;
- IPD Calculation, Covenant & Waiver analysis ;
- Review loan documentation including but not limited to drawdown, amortization, repayments and fees.
- Contribute to the valuation process, calculation of gross to net adjustments and preparation of valuation committee and Loan Reviews materials
- Support investment decision process by maintaining fund models, proving scenario/sensitivity analysis, key property and financial metrics and CRE Debt KPIs
- Support investment decision process with qualitative and quantitative fund data
- Investor/Client reporting and ad hoc reports upon request
- Manage and keep the IT tools (incl. the new Asset Management tool) updated as to properly reflect portfolio composition but also proper reconciliation with service providers, liaise with a wide range of internal stakeholders and external service providers to ensure the quality and timely flow of financial data
Qualifications
SHARE your unique expertise
We welcome different combinations of skills & experiences.
Your qualifications and experience:
- Business schools, engineering schools or universities.
- Previous experience in a financial institution will be appreciated (banks’ loan portfolio management teams, asset management company or loan service providers)
- Proven financial, analytical and organizational skills
- English (high proficiency required)
- Appetite for/knowledge of Loan documentation
- Appetite for/knowledge of the Real Estate Debt sector
- Team player, multi-tasking, rigorousness, desire and flexibility to learn and grow in a fast-paced environment and capacity for synthesizing and prioritizing
- Advanced skills in Excel/VBA. Knowledge of Simcorp Dimension and or Real Insight is a plus but not a must have
Loan Asset Manager, Real Estate Debt - AXA Investment Managers in London employer: AXA Investment Managers
AXA Investment Managers is an exceptional employer, offering a dynamic and inclusive work culture that prioritises employee growth and development. Located in the heart of London, our hybrid working model allows for flexibility while being part of a leading global asset management firm, where you can contribute to meaningful projects that drive human progress and financial prosperity.
StudySmarter Expert Advice🤫
We think this is how you could land Loan Asset Manager, Real Estate Debt - AXA Investment Managers in London
✨Get Involved in Finance Communities
Join investment and asset management forums or local finance meetups. Engaging with professionals in these circles can not only help you learn the ropes but also put you in touch with potential employers like AXA Investment Managers, who often scout for talent at such events.
✨Utilise Networking Platforms
Connect with professionals already working in asset management on platforms like LinkedIn. A personal message showing your interest in their role or asking for advice can lead to significant connections that might tip the scales in your favour at companies like AXA Investment Managers.
✨Show Off Your Financial Skills
Consider contributing to investment blogs or even creating your own content. Sharing your insights and analyses can demonstrate your knowledge and passion for the industry, making you stand out when applying for roles at organisations like AXA Investment Managers.
✨Engage with Recruitment Events
Attend finance recruitment fairs and expos. These events are perfect for making a strong impression with recruiters and potentially securing interviews. Many companies, including AXA Investment Managers, attend these events to scout for fresh talent, so make sure you stand out with your enthusiasm and knowledge!
We think you need these skills to ace Loan Asset Manager, Real Estate Debt - AXA Investment Managers in London
Some tips for your application 🫡
Highlight Your Analytical Skills:In asset management, it's all about the numbers! Make sure your CV showcases your analytical skills, particularly any experience with financial modelling or quantitative analysis. Employers like AXA Investment Managers want to see how you can dissect data and turn it into actionable insights, so don't hold back on your achievements!
Show Off Your Relevant Qualifications:Having the right qualifications can be a game changer in investment roles. If you've got a degree in finance, economics, or a related field, flaunt it! Also, if you have any certifications like CFA or CAIA, mention those too. It’ll help demonstrate your commitment and expertise in the field to AXA Investment Managers.
Tailor Your Cover Letter to Reflect Passion for Investment:Your cover letter is your chance to express your enthusiasm for the investment world. Share why you're drawn to asset management and your understanding of market trends. The hiring team at AXA Investment Managers will be keen to see that passion and how you keep up with industry news and developments.
Quantify Your Achievements:Don’t just tell them what you did - show them! When detailing your previous experience, include quantifiable achievements to illustrate your impact. Whether it’s percentage growth on a portfolio or cost savings in a project, these figures will help your application stand out to AXA Investment Managers. Numbers speak louder than words!
How to prepare for a job interview at AXA Investment Managers
✨Brush Up on Financial Modelling
For a role in investment asset management, being well-versed in financial modelling is crucial. Make sure you can articulate your experience with tools like Excel or any specialised software you've used. Maybe even prepare a couple of examples of financial models you've built or analysed.
✨Know Your Investment Strategies
Expect questions around different investment strategies and how you would apply them in various market scenarios. Get ready to discuss current market trends and how they impact portfolio management. This shows you're not just about the theory but also keeping an eye on real-world applications.
✨Show Your Analytical Skills
Since this is a full-time role, companies like AXA Investment Managers want to see your analytical thinking in action. Prepare to solve case studies or tackle some numerical puzzles during the interview. Practicing these types of questions will boost your confidence and show off your skills.
✨Discuss Your Long-Term Career Goals
As you’re applying for a full-time position, the interviewers will be interested in your commitment to the field. Be ready to discuss how this role fits into your long-term career plans in asset management. This shows you're not just looking for any job, but you’re genuinely interested in growing withAXA Investment Managers.