Excellent Opportunity for an analytically minded Portfolio Manager to join this market leading Private Equity organisation in a management capacity. You will oversee a team managing a £10bn debt and equity portfolio with assets across real estate, Debt (secured, unsecured and NPL) and infrastructure.
As part of the dynamic Portfolio Management team, you will take ownership of certain investments. This will include business planning, valuations, ad-hoc analysis, sensitivity and scenario modelling and liaising with external providers. The team have a high profile within the organisation and you will work closely with senior partners and be involved in many key strategic decisions.
The company look for flexible and open minded individuals who can work broadly across the business and help promote a fluid working environment.
The London office accounts for around a quarter of the Global headcount, so the team is close-knit with a lot of cross working and strong, positive culture.
7+ years' experience of Real Estate Debt
Strong NPL background
Excellent Experience of analysis and structuring
Excellent modelling skills (VBA / Macros)
Excellent communicator and team worker
Strong academic record
Preferably studying towards / qualified CFA
Pan-European experience and exposure to multiple asset classes is beneficial