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Portfolio Senior Associate, European Real Assets Investor, London, UK

PER, Private Equity Recruitment

Greater London

On-site

GBP 70,000 - 90,000

Full time

2 days ago
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Job summary

A financial recruitment agency is seeking a Senior Associate for a European Real Assets investor based in London. The role focuses on portfolio management, financial modelling, and analytics. Ideal candidates will have 5-8 years in valuations, strong analytical skills, and a relevant degree. This position involves collaboration across teams and managing junior members, offering an opportunity to work in a growing firm with a dynamic portfolio across Europe.

Qualifications

  • 5 - 8 years experience in valuations or financial modelling.
  • Strong proficiency in cashflow financial modelling.
  • Experience with real estate or infrastructure valuations.

Responsibilities

  • Support portfolio modelling and valuation cycle by building and updating financial asset models.
  • Update cash flow models and perform in-depth asset analysis.
  • Review market conditions to drive model assumptions.

Skills

Cashflow financial modelling
Analytical skills
Communication skills
Presentation skills
Team collaboration

Education

Educational degree in relevant financial field
Job description

Portfolio Senior Associate, European Real Assets Investor, London, UK When you click apply, you will be redirected to thepany’s website . Please ensure you havepleted thepany’s application process on their platform to fully apply.

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 to focus on financial modelling, valuations and analytics. The Senior Associate will partner with different business areas including asset management, finance, acquisitions and external stakeholders in providing valuations, financial modelling, analytics and performance analysis of the current portfolio. The business is going through an exciting growth phase as it develops its portfolio across Europe

What the job involves
  • Support portfolio modelling and valuation cycle by building and updating financial asset models
  • Update cash flow models with latest assumptions and perform in depth asset analysis
  • Review market conditions to drive model assumptions and assess the value of the assets
  • Support hold and sell analysis by providing fund-level returns
  • Support performance measurement and prepare cash flow forecasts for investor reporting
  • Liaises with external advisors to facilitate external valuations and analysis
  • Monitor debtpliance at fund and asset levels
  • Oversight and management of junior team members
Who we are looking for
  • Educational degree in a relevant financial field
  • 5 - 8 years experience in valuations or financial modelling
  • Strong proficiency in cashflow financial modelling
  • Strong understanding of real estate or infrastructure valuations and assumptions
  • Strong analytical and quantitative skills required
  • Strongmunication, listening and organisational skills
  • Strong report writing skills / presentation skills
  • Self-starter and team player who embraces collaboration
  • Experience with working with international teams
  • Business level written andmunication skills in English
  • Strong management and leadership skills
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You will be redirected to thepany’s website – you mustcomplete the application on their platform to apply. Job ID 14524

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