Job Description
Position Summary :
The position involves analysis of publicly listed real estate companies. The ideal candidate is an experienced investment professional (5-10 years) who wishes to make significant contributions to a global equity portfolio within a team-based environment.
Responsibilities :
Undertake fundamental research and recommend securities for inclusion in various real estate securities portfolios. This research should include rigorous, Excel-based financial modeling, as well as management meetings and occasional asset tours.
Form independent views and assumptions on individual stocks, real estate sectors, and geographic regions; utilize best-in-class research tactics and process to make buy & sell decisions.
Assist in the construction, execution, and daily oversight of portfolio strategies.
Qualifications & Requirements :
Bachelor’s degree in Economics, Finance, Mathematics, Quantitative Finance or related field.
5+ years of experience in financial analysis with a strong background in financial modeling and forecasting. Previous real estate securities or equity analysis background is preferred.
Chartered Financial Analyst (CFA) designation preferred.
Demonstrated quantitative, data analysis and problem-solving skills.
Strong verbal and written communication skills.
Independent thinker willing to challenge convention(s). Willing to present ideas with precision, passion and conviction.
Must be able to learn quickly and to work autonomously.
Strong attention to detail.
Desire to work in a team environment possessing strong interpersonal and relationship building skills.
Ability to work independently, while promoting and contributing to a strong team dynamic.
Strong proficiency with Bloomberg and Excel.
Travel :
Approximately 10-20% travel required.