We are working with a London-based real estate private equity fund. With a large amount of capital committed to the funds strategy from international backers, the team is looking to add two Investment Managers. The fund manages $2B+ in assets, with a strategic focus on long-income, core/core-plus office investments across major European markets.
Key Responsibilities
Source and underwrite long-lease office deals (10+ year WAULT) across the UK and Europe.
Lead financial modeling (DCF, IRR, sensitivity), tenant covenant analysis, and investment memos.
Oversee due diligence, legal negotiations, and transaction execution.
Manage existing portfolio assets: business plans, leasing, capex, and performance tracking.
Support investor reporting, valuations, and LP communications.
Contribute to strategic initiatives (ESG upgrades, JV structuring, new sectors/geographies).
Requirements
9+ years of experience in relevant sectors such as real estate private equity, investment banking, or principal investing.
Strong track record in core/core-plus office acquisitions and asset management.
Advanced financial modeling skills (Excel, Argus a plus).
Commercially driven, detail-oriented, and confident in presenting to senior stakeholders.
European market experience and willingness to travel periodically.