Analyst, Real Estate Debt Fund - Brookfield Asset Management
Brookfield Asset Management
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Brookfield Property Group Brookfield Property Group, one of Brookfield s primary businesses, is a leading global investor in real estate, owning and operating an irreplaceable portfolio of iconic properties located in the world s most dynamic markets. Our real estate portfolio spans multiple asset classes, including office, retail, multifamily, industrial, hospitality, self-storage and student housing in North America, South America, Europe and Asia. Across our public and private investment vehicles, we generate superior returns by focusing on real estate fundamentals leasing, financing, development, construction, and property and facilities management. Brookfield Property Partners is publicly listed on the NYSE (BPY) and, TSX (BPY.UN).
The Analyst will work in Brookfield s primary debt platform, Brookfield Real Estate Financial Partners ( BREF ), and will be responsible for supporting the investments team in the origination, underwriting and execution of real estate debt investment opportunities across property types.
Evaluate and analyze potential new investments
Create detailed and complex financial underwriting models for the financing of real estate investments
Perform asset-level and market-level due diligence
Develop thorough understanding of a deal s capital structure and business plan and key risks to performance through discussions with sponsors, market participants and investment professionals
Understand physical characteristics of properties, and the related competitive advantages and disadvantages
Critically evaluate existing and potential operating characteristics of a project
Identify a project s demand drivers, gather market information through independent fieldwork and direct contact with brokers, appraisers and developers. Synthesize information and draw a conclusion on future market rent, absorption, vacancy and liquidity in the investment market
Communicate conclusions into a comprehensive narrative to be presented to senior management for consideration and approval. Participate in underwriting and Investment Committee discussions
Participate in and provide support for the ongoing asset management of each investment
Qualifications & Requirements
The candidate will directly interact with colleagues throughout the organization and therefore should have strong quantitative and analytical skills, be detail-oriented, articulate, and well organized. The candidate must display initiative, good judgment in managing multiple tasks and strong problem solving skills. The ability to think strategically and to present information in a clear and concise manner is critical. Other qualifications include:
1-3 years of finance experience. Previous experience in real estate (investment banking, private equity, development, institutional sales, etc.) will be highly favored
Excellent financial modeling skills including a high degree of proficiency with Excel; Argus experience is a plus
Self-motivated and driven; ability to work effectively in a fast-moving, demanding and dynamic environment
Superior quantitative and analytical skills
Creative problem solver
Excellent oral and written communication skills
Strong interpersonal skills
Keen attention to detail
Impeccable integrity and trustworthiness
Demonstrated academic success with a bachelor s degree in areas such as finance, accounting, or other analytical/quantitative fields from a top university
This position would be suitable for those candidates who meet the role qualifications and who thrive in a performance-driven environment that emphasizes employee leadership and accountability for delivering results.