Responsibilities: Prepare preliminary internal asset valuations, using a discounted cash flow and/or direct capitalization approach, for Investment Committee review and participate in internal quarterly valuation meetings. This may include quarterly equity valuations for the Fund's joint ventures to ensure accounting is accurately reflecting asset's fair market value. This requires knowledge of joint venture waterfall calculations in Excel. Coordinate quarterly asset appraisal process with third party appraisers, review quarterly appraisals for accuracy and provide feedback to appraiser. Prepare quarterly portfolio-level client reports including review and understanding of rent rolls, leasing, returns, operating statements, legal
This job listing is no longer active.
Check the left side of the screen for similar opportunities.