Overview
In this role you will own the fund model across multiple assets and classes, supporting financial modelling, investor reporting, and portfolio analysis. You will collaborate with Investment & Asset Management teams to validate assumptions and stress-test plans. You will deliver regular performance updates and help coordinate investor materials as the fund scales in the UK and Europe. This is a growth-focused position in a specialist PE real estate investor, offering autonomy and high-impact reporting at senior levels.
Pay / Benefits
- Excellent fixed + variable compensation
- pension
Responsibilities
- Own and maintain the Fund model for multiple assets across classes
- Support financial modelling, research, and investor reporting coordination
- Stress-test and validate modelling assumptions with Investment & AM / Dev teams
- Produce portfolio performance and risk analysis for regular reporting
- Collate capex/spend against budgets and assist valuations with stakeholders
- Prepare external valuations and liaise with key stakeholders
- Provide portfolio updates, quantify fund inflows/outflows, ensure compliance with investment guidelines
- Support fund and investor reporting for SLT meetings and investor presentations
Key requirements
- Analytically focused STEM/Real Estate/RE Finance degree or related (desirable but not mandatory)
- Prior portfolio or fund analysis experience in PE Real Estate or investment management
- Experience analysing and reporting on UK & European Real Estate products
- Advanced analytical Excel skills and complex fund modelling
- High attention to detail and ability to spot anomalies
- Able to work in a fast-paced environment with a proactive, team-oriented mindset
- Strong slide deck, reporting, and ad-hoc communications skills
- Ability to work independently as fund model owner while collaborating with SLT/Investment team
- can-do attitude
- attention to detail
- independence and accountability
- advanced analytical Excel
- fund modelling
- portfolio performance analysis
…
