Includes Bonus

Analyst - Debt Portfolio Management

PCCP, LLC

Los Angeles, CA $75,000.00 - $99,999.00 Full Time Office
Industrial Residential Mixed Use Less than 1 year exp. • 4 Year College

Job Description

Purpose and Values:
Provide support to the members of the portfolio management team to analyze, manage, and disseminate the qualitative and quantitative information to PCCP, our stakeholders and investors.

Qualifications:
  • Bachelors degree in Finance, Business, Economics, or Mathematics preferred.
  • Internship or work experience with a real estate firm, financial institution, or commercial mortgage banking firm a plus.
  • Preferred experience in financial modeling.
  • Having fluency in and the ability to create and maintain complicated Excel models and reports is essential.
  • Advanced knowledge of Excel, Microsoft Word, and PowerPoint required. Proficiency in ARGUS, SQL, or database management systems a plus.
Competencies:
  • Familiarity with real estate investment concepts including return on investment, return on equity, debt coverage ratio, direct capitalization, discounted cash flow analysis, and mortgage constant.
  • Familiarity with commercial property valuation methodologies and income and expense statements, including trends and budgets.
  • Familiarity with database concepts, analytics, and applications to real estate portfolios.
  • Possesses strong written and verbal communication skills, with the ability to synthesize information clearly and concisely.
  • Possesses the ability to multitask while producing quick, accurate work product and to take guidance without literal direction.
  • Translates non-linear information into quantitative models which can yield clear conclusions.
Responsibilities:
  • Works with asset management, loan servicing and finance & accounting teams to ensure accuracy and integrity of quantitative and qualitative data used for performance reporting, budgets and projections.
  • Analyzes financial, operating, and valuation information to evaluate the results of the Company’s debt investments and funds.
  • Manages and maintains databases, spreadsheets, and other information systems to ensure the Company can provide real-time portfolio information to various users.
  • Supports fund managers and portfolio management in monitoring and analyzing portfolio liquidity, capital needs, diversification, cash flows, and asset- and fund-level performance.
  • Assists investor relations through providing portfolio and market insights to prospective and current investors.
  • Facilitates the fund’s monthly and quarterly reporting process for all debt platforms, acting as liaison between different functional teams, reviewing asset models and production of investor reports.
  • Conducts real estate investment sensitivity analyses by reviewing cash flow, forecasting, and valuation reports for different portfolios.
  • Supports the Company’s ESG initiatives, tracking and understanding our portfolio-related ESG impacts and ensuring the firm’s commitment to our policy.
  • Possesses the capability to take on ad hoc responsibilities as assigned.

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