Real Estate Investment Analyst: Dutch & German Portfolio

Vastgoed Nederland

Amsterdam

Hybrid

EUR 70,000 - 110,000

Full time

14 days+
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Benefits offered by this job

Discretionary performance bonus
30 days annual leave
Travel expense reimbursement
Company laptop and iPhone
Personal development budget
Continuous learning opportunities

Job summary

Vastgoed Nederland is seeking an investment and asset management professional to support Dutch and German real estate portfolios. You will conduct underwriting analyses, prepare reports, and maintain financial models across the portfolio, while collaborating with capital partners and a third-party Property Manager.

Ideal candidates have 2–4 years of experience in financial analysis and underwriting, with strong MS Office skills and English fluency.

Qualifications

  • 2–4 years of relevant experience with strong financial analysis and underwriting skills.
  • Proven track record on underwriting analytics.
  • Proficient in Microsoft Office applications (Excel, PowerPoint, Word).
  • Fluent in English.
  • Master’s degree in Real Estate or Finance, or Bachelor’s with relevant experience.

Responsibilities

  • Investment and underwriting analysis on real estate strategies with capital partners.
  • Assist asset management and lender reporting by preparing monthly reports, presentations, and maintaining financial models across the portfolio.
  • Perform financial analysis of potential leases, CapEx and OpEx projects.
  • Maintain portfolio databases with asset and tenant performance analytics.
  • Collaborate with third-party Property Manager to ensure tenant and shareholder relationships.

Skills

Financial analysis
Financial modelling
Analytical abilities
Excel
PowerPoint
Word
English

Education

Master’s degree in Real Estate or Finance
Bachelor’s degree with relevant experience

Tools

Microsoft Office

Job description

Vastgoed Nederland is seeking an investment and asset management professional to support Dutch and German real estate portfolios. You will conduct underwriting analyses, prepare reports, and maintain financial models across the portfolio, while collaborating with capital partners and a third-party Property Manager.

Ideal candidates have 2–4 years of experience in financial analysis and underwriting, with strong MS Office skills and English fluency.

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