Fund Director - Real Estate Debt
- Employer
- Goodman Masson
- Location
- London, United Kingdom
- Salary
- competitive + bonus + benefits
- Posted
- Apr 12, 2022
- Closes
- Apr 21, 2022
- Ref
- 12069131
- Job Function
- Portfolio Management: Alternatives
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
Outline of Job Description:
1. Debt fund management: including credit review and oversight of new and existing loan facilities and reporting to capital partners and investors.
2. Capital Raising
3. Real Estate Finance and Structuring
4. M&A Strategy
5. Listing Rules compliance
Key responsibilities:
• Assist in the development of new funds business and/or investment acquisitions, preparation of investment presentations and support in marketing of new products.
• Liaise with and manage relevant advice from the firm's specialist legal, regulatory and financial advisers in relation to existing and new funds (including listed funds)
• Manage fund change processes
• Review and manage relevant transaction and/or fund documentation
• Develop and use financial models to advise the fund managers on fund investment strategies, financial structures, viability, valuations, sensitivity and scenario analysis.
• Assist the fund's finance team in budgeting and forecasting the impact of capital raisings and/or transactions.
REQUIREMENTS OF THE CANDIDATE
• A banking, accountancy, actuarial or surveying qualification (ideally with post-graduate qualifications such as CFA, MA, MBA or MSc).
•10+ years of relevant experience
•Strong credit analysis skills, ideally within a Real Estate Debt environment
• Experience of real estate finance with a well-developed understanding of secured lending including of development and project finance.
• Understanding of investor reporting systems and financial modelling.
• An appreciation of the real estate market and valuation theory.
• Good communicator and highly articulate (written and verbal), with high quality report writing skills.
1. Debt fund management: including credit review and oversight of new and existing loan facilities and reporting to capital partners and investors.
2. Capital Raising
3. Real Estate Finance and Structuring
4. M&A Strategy
5. Listing Rules compliance
Key responsibilities:
• Assist in the development of new funds business and/or investment acquisitions, preparation of investment presentations and support in marketing of new products.
• Liaise with and manage relevant advice from the firm's specialist legal, regulatory and financial advisers in relation to existing and new funds (including listed funds)
• Manage fund change processes
• Review and manage relevant transaction and/or fund documentation
• Develop and use financial models to advise the fund managers on fund investment strategies, financial structures, viability, valuations, sensitivity and scenario analysis.
• Assist the fund's finance team in budgeting and forecasting the impact of capital raisings and/or transactions.
REQUIREMENTS OF THE CANDIDATE
• A banking, accountancy, actuarial or surveying qualification (ideally with post-graduate qualifications such as CFA, MA, MBA or MSc).
•10+ years of relevant experience
•Strong credit analysis skills, ideally within a Real Estate Debt environment
• Experience of real estate finance with a well-developed understanding of secured lending including of development and project finance.
• Understanding of investor reporting systems and financial modelling.
• An appreciation of the real estate market and valuation theory.
• Good communicator and highly articulate (written and verbal), with high quality report writing skills.