Opportunity for an analytically minded individual to join this Pan-European Asset Management firm. The company support the investment activities of one of the leading private equity firms and manage a range of assets across real estate, Debt (secured, unsecured and NPL) and infrastructure.
With 100 employees across a network of offices and in excess on £10bn AUM, the company also provide Corporate Finance, Transaction Support, Legal and Finance support the parent company. As part of the dynamic Portfolio Management team, you will work on valuations of portfolio companies, consolidations of investments and fund level analysis as well scenario Modelling.
The company look for flexible individuals who can work broadly across the business. As such, this role will be working with both direct Real Estate Assets and the company's mxed debt portfolio. The company are very hands on in terms of strategy around the portfolio, working closely with the Private Equity business to maximise the potential and return from the assets. They also build relationships with borrowers in order to effectively manage the loan portfolio and ensure that the loans remain healthy.
The London office accounts for around a quarter of the Global headcount, so the team is quite close-knit with a lot of cross working, a good working environment and strong, positive culture.