A well-capitalized and entrepreneurial real estate investment firm is seeking an Associate to support acquisitions and asset management activities across a growing portfolio. This role offers broad exposure across the investment lifecycle, including underwriting, due diligence, portfolio analysis, operating performance, and strategic initiatives.
Qualification
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3–5 years of experience in real estate
, investment banking, private equity
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Strong financial modeling
, analytical, and quantitative skills
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Advanced proficiency in Microsoft Excel, with strong PowerPoint and Word capabilities
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Excellent written and verbal communication skills
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Ability to think strategically from both an investment and operational perspective
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Highly organized with strong attention to detail and the ability to manage multiple priorities simultaneously
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Self-motivated professional with sound judgment, a strong work ethic, and the ability to thrive in a fast-paced, entrepreneurial environment
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Familiarity with multifamily real estate and/or New York City housing is preferred
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Bachelor's degree required; finance, real estate, economics, business, or a related field preferred
Key Responsibiliti
es
Acquisitions & Asset Management
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Screen and evaluate prospective investment opportunities
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Build and maintain detaile
d financial underwriting and valuation models
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Conduct market, submarket, and competitive landscape analyses
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Prepare investment memoranda, transaction summaries, and presentation materials
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Support due diligence efforts by coordinating with brokers, lenders, consultants, attorneys, and other third-party stakeholders
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Assist in evaluating business plans, capital improvement initiatives, and execution risk
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Develop and maintain relationships with brokers and other industry professional
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Monitor property and portfolio performance to help drive cash flow, operational efficiency, and investment returns
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Review financial statements, leasing activity, traffic trends, delinquencies, and other key operating metrics
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Partner with property management teams to identify operational challenges and implement solutions
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Assist with annual budgeting, business planning, capital improvement projects, and cash flow forecastings
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Support portfolio-wide initiatives focused on revenue growth, expense management, and operational improvements
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Help maintain lender, investor, and regulatory compliance requirements
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Prepare recurring and ad hoc reporting, analyses, and presentations for senior management