This role sits with a leading global real estate investment fund managing close to $100 billion in assets under management (AUM) across real estate equity and credit investments.
They are seeking an Investment Analyst to join their London-based team, supporting a pan-European, multi-asset class value-add acquisitions. This is a dynamic role offering exposure to both acquisitions and asset management, across sectors including office, industrial, residential, retail, and hospitality.
Key Responsibilities
* Acquisitions: Support the identification, underwriting, and execution of investment opportunities across Europe.
* Conduct financial modelling (DCF, IRR), valuation analysis, and market research.
* Assist with deal structuring, due diligence coordination, and the preparation of investment committee materials.
* Asset Management: Contribute to the monitoring and enhancement of portfolio performance, including budgeting, forecasting, and business plan execution.
* Support leasing strategies, capital planning, and repositioning or redevelopment projects.
* Stay informed on macro and real estate market trends, providing insights to the investment team.
* Collaborate with internal teams such as legal, finance, ESG, and capital markets.
About You
* Background in a bulge bracket or tier 1 investment bank (M&A or credit) or an opportunistic private equity fund/alternative lender. It is highly unlikely you will be a fit for this role unless you have one of these two backgrounds.
* Experience in real estate as a sector is not paramount however you must have an interest in the space and understand terminologies around cap rates and real estate NOI
* Strong financial modelling, underwriting, and valuation capabilities.
* Comfortable operating across multiple European markets.
* Highly motivated, with excellent analytical, communication, and teamwork skills.