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Non-Traded REIT Portfolio Management Analyst/Associate

Salary
Competitive
Employment
Full Time
Real Estate Field
Location
Greenwich
 CT
Postal Code
06830
Country
United States

This job is no longer active.

Description


Company Overview:

Starwood Capital Group is a private investment firm with over $55 billion in assets under management and a primary focus on real estate. The firm maintains offices in Greenwich, Amsterdam, Atlanta, Chicago, Hong Kong, London, Los Angeles, Luxembourg, Miami, San Francisco and Washington, D.C. Starwood Capital’s hallmark is to invest opportunistically, moving between asset classes, geographies and positions in the capital stack as the firm perceives risk/return dynamics to be evolving. The firm has invested in nearly every class of real estate on a global basis, including residential, hotel, office, retail, industrial and student housing assets. Additional information about Starwood Capital can be found at 

Starwood Real Estate Income Trust:  Starwood Real Estate Income Trust (“SREIT”) Starwood Real Estate Income Trust is a perpetual life, non-traded REIT focused on acquiring a diversified portfolio of stabilized, income-oriented real estate in both primary and secondary markets across the U.S. and in Europe.

Our investment objectives are to invest in high-quality assets that will enable us to:

  • provide current income in the form of regular, stable cash distributions to achieve an attractive distribution yield;
  • preserve and protect invested capital;
  • realize appreciation in NAV from proactive investment and asset management; and
  • provide an investment alternative for stockholders seeking to allocate a portion of their long-term investment portfolios to commercial real estate with lower volatility than publically traded real estate companies.

Starwood Real Estate Income Trust is designed to serve as an investor’s core real estate allocation. Our portfolio will be comprised of a range of asset types which will primarily include multifamily, hotel, office, industrial and select retail assets, with a limited amount of medical office, student housing, senior living, data centers, manufactured housing and storage properties. More information on SREIT can be found at StarwoodNAV.reit

Responsibilities:

  • Manage and maintain monthly valuation summary and models, working with asset managers and third-party appraisers
  • Create monthly reporting packages including financial overviews for each asset class and summary pages for individual investments
  • Maintain complex financial models, ensuring the accuracy of all information, including historical and projected asset cash flows, valuations, projected dividend forecasts, and fund level expenses
  • Work with Asset Management teams on investment performance, refinancings, dispositions and hold/sell
  • Assist in preparing board of director presentations and in providing portfolio metrics for sales and marketing efforts
  • Coordinating with Acquisition team to forecast fund sources and uses and assist in onboarding assets
  • Help manage and oversee SREITs portfolio of securities
  • Track and analyze information utilizing the group’s proprietary databases, facilitating the production of all fund-related analyses and financial reporting
  • Proactively highlight and communicate fund and asset-specific issues and opportunities
  • Continually improve financial models as well as processes and procedures to increase efficiency and quality
  • Assist with ad hoc projects and analyses as needed
  • Communicate with numerous people across virtually all departments of the firm (Asset Management, Acquisitions, Capital Markets, Fund Accounting, Property Accounting, Investor Relations, Legal, Treasury, etc.)
  • Provide support to the Head of Portfolio and Asset Management and team, Asset Management, Investor Relations and the CEO/CFO as necessary

Requirements:

  • Bachelor’s degree
  • Strong academic background, preferably in finance or accounting
  • 2 to 4 years of relevant finance, accounting and/or analytical experience (real estate experience a plus)
  • Proficient in Microsoft Excel, Word and PowerPoint. Familiarity with Argus is a plus
  • Familiarity with financial modeling, including discounted cash flow analyses
  • Exceptional attention to detail
  • Experience in managing, updating and analyzing large quantities of data
  • Ability to manage and effectively present information
  • Strong business writing and communication skills
  • Highly organized
  • Authorization to work in the United States

Job Function


Not specified

 

Job Sector


Not specified

 

Experience


2+ to 5 years


This job is no longer active.

Asset / Portfolio Management Greenwich Full Time CT Non-Traded REIT Portfolio Management Analyst/Associate other