European Real Estate Investment Manager
Oversee and execute real estate investment strategies across Europe, including indirect investments, joint ventures, and co-investment opportunities.
Conduct thorough financial analysis to evaluate potential real estate investment opportunities.
Prepare investment reports and deliver well-structured presentations to senior management and the Investment Committee.
Manage due diligence processes, market research, and legal reviews.
Play a key role in strategic asset management by continuously monitoring real estate portfolios and recommending actions to enhance returns.
Support senior leadership in portfolio management, working closely with internal teams and external stakeholders to build a high-quality asset portfolio.
Analyze market trends, asset performance, and investment strategies to provide valuable insights and recommendations.
Collaborate with senior management to drive effective decision-making and ensure alignment with broader investment objectives.
Client Details
City of London based Sovereign Wealth Fund
Profile
A minimum of two years of experience in European real estate investment and asset management. While experience in other regions, such as the US and Asia, is a plus, it is not essential for this role.
Familiarity with structuring Fund Investments, Co-investments, SMAs, and JVs, as well as a broad understanding of real estate asset classes, including residential, logistics, and office properties.
A high level of professionalism, discretion, and initiative, with the ability to work effectively in a fast-paced, high-pressure environment.
A self-motivated and adaptable team player who can also work independently.
Strong analytical skills with excellent attention to detail.
Job Offer
Large AUM – all Large and interesting RE deals will come across your desk.
Friendly and Collaborative Culture.
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Contact Detail:
Michael Page Recruiting Team