A global alternative investment manager with a multi-billion dollar real estate equity platform across Europe and North America. We pursue value-add and opportunistic direct equity investments across office, logistics, living and mixed-use assets, deploying €30m–€200m of equity per transaction. Our London office leads European activity; analysts are embedded in live deals from day one, working directly alongside senior professionals across the full deal lifecycle.
THE ROLE
A core deal team member on transactions of €50m–€500m+ GAV — responsible for underwriting, due diligence and execution across Western European markets, with direct involvement from screening through to IC approval, legal close and asset management.
RESPONSIBILITIES
- Own financial modelling on acquisitions, JVs and repositioning business plans
- Lead underwriting and scenario analysis on live transactions
- Prepare IC memoranda and deal materials to institutional standard
- Conduct market research, comparables and sector due diligence
- Coordinate legal, technical and financial advisors through execution
- Support asset management — leasing, capex, business plan tracking
- Assist with fund reporting, valuations and LP materials
CANDIDATE PROFILE
- 1–3 years in RE investment banking (M&A / capital markets) at a leading bank, or direct investment at a tier 1 RE fund
- Exposure to transactions at scale — equity tickets €30m+, GAV €100m+
- Exceptional financial modelling and command of RE metrics — IRR, equity multiple, YoC, waterfall
- Experience contributing to live IC materials
- Polished written and verbal communication
- Second European language strongly desirable — French, German, Spanish or Italian
- Strong academic background in finance, economics or real estate
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