Responsibilities will include:
(i) analysing and executing new asset acquisitions (either bolt-on acquisitions for the Links Fund or new transactions for new funds) and debt financing
(ii) building and maintaining transaction performance models
(iii) monitoring tenant compliance with lease covenants including financial reporting deliverables and review of tenant operating performance
(iv) quarterly reporting: collation of relevant information, dissecting key trends and reporting in a clear and concise way to the fund boards, the investor group and the banking syndicate
(v) analysing capital spend/ development projects at portfolio assets
(vi) mandating and managing the appropriate third party advisors to execute the various work-streams (i.e. asset valuations, legal work etc.).
Candidates Profile:
(i) strong financial modeller with ability to build '3 sheets' models from scratch;
(ii) knowledge of key corporate finance concepts;
(iii) the ability to 'self-start' and a high level of commercial awareness;
(iv) the ability to work in a rigorous and structured way with a high attention to detail;
(v) excellent communication skills, both orally and in writing
(vi) At least 5 years of relevant experience in real estate structured finance, M&A and/ or corporate finance coming out of an Investment Bank or Management Consultancy