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Portfolio Senior Associate, European Real Assets Investor, London

PER

London

On-site

GBP 60,000 - 80,000

Full time

Yesterday
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Job summary

A leading European Real Assets investor is seeking a Senior Associate for their Portfolio Management and Analytics team in London. The role focuses on financial modelling, valuations, and analytics to support strategic decisions across European assets, offering a chance to contribute to the team's growth and success.

Qualifications

  • 4-7 years of experience in valuations or financial modelling.
  • Proficiency in cash flow financial modelling.
  • Experience working with international teams.

Responsibilities

  • Supporting portfolio modelling and valuation by building and updating financial asset models.
  • Updating cash flow models with latest assumptions and performing in-depth asset analysis.
  • Liaising with external advisors for valuations and analysis.

Skills

Analytical skills
Quantitative skills
Communication
Collaboration
Leadership

Education

Degree in a relevant financial field

Job description

Reference: 14524 New
Portfolio Senior Associate, European Real Assets Investor, London

PER has partnered with a growing European Real Assets investor that is looking to add a Senior Associate to the Portfolio Management and Analytics team. The role will focus on financial modelling and analytics to support strategic decisions across European assets. This is an excellent opportunity to join a growing team and play a key role in supporting the assets' continuous growth.

About our client

PER has partnered with a growing European Real Assets investor which is looking to add a Senior Associate to the portfolio management and analytics team. The role involves financial modelling, valuations, and analytics. The Senior Associate will collaborate with asset management, finance, acquisitions, and external stakeholders to provide valuations, financial modelling, analytics, and performance analysis of the current portfolio. The business is experiencing an exciting growth phase across Europe.

What the job involves

  1. Supporting portfolio modelling and valuation by building and updating financial asset models
  2. Updating cash flow models with latest assumptions and performing in-depth asset analysis
  3. Reviewing market conditions to inform model assumptions and assess asset value
  4. Supporting hold and sell decisions by providing fund-level returns
  5. Assisting in performance measurement and preparing cash flow forecasts for investor reporting
  6. Liaising with external advisors for valuations and analysis
  7. Monitoring debt compliance at fund and asset levels
  8. Managing and overseeing junior team members

Who we are looking for

  • An educational degree in a relevant financial field
  • 4-7 years of experience in valuations or financial modelling
  • Proficiency in cash flow financial modelling
  • Understanding of real estate or infrastructure valuations and assumptions
  • Strong analytical and quantitative skills
  • Excellent communication, listening, and organizational skills
  • Strong report writing and presentation skills
  • A self-starter and team player who values collaboration
  • Experience working with international teams
  • Business-level English communication skills
  • Strong management and leadership abilities
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