Analyst CRE Finance at AXA Funds Management
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

04 Sep, 25

Salary

0.0

Posted On

05 Jun, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

English, Business Schools, Real Estate, It, Excel, Universities, Analytical Skills, Bloomberg

Industry

Financial Services

Description

Analyst CRE Finance
22 Bishopsgate, London – Hybrid
Permanent
At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.
As a future Analyst CRE Finance, you will report to Senior Fund Manager CRE Finance, and you will be part of AXA IM Alts – Real Assets.
DISCOVER your opportunity
The Analyst CRE Finance will play a supporting role in sourcing, analysis, structuring and execution of Real Estate debt transactions.

Your role and responsibilities will include:

  • Transaction Analysis Accountabilities:
  • Participate in the review of European Real Estate debt transactions across the investment spectrum i.e., gain knowledge of the diversity of sectors (Office, Retail, Hotel, Residential, Logistics) and instruments (Loans/Bonds/securitization).
  • Produce thorough Real Estate investment analysis, create tailored cash-flows/valuation models to simulate various scenarios
  • Prepare and present Investment Committee Memorandums and perform investment due diligence and assist in the closing of deals.
  • Company Analysis:
  • Elaborate short memos to improve the team’s knowledge on specific topics but also produce thorough corporate and financial analysis of Property Companies, or of specific sponsors and tenants as part of Investment Committees’ preparation.
  • Portfolio Management & Monitoring:
  • Assist fund managers in the daily management of their specific funds which includes participating in their monitoring (portfolio performance, derivatives, cash management, reporting to clients, follow-up of borrowers/agents’ requests …) of the funds. Those tasks will be performed using fund management software and in collaboration with the middle-office team.
  • Development:
  • Involved in the team’s strategic development and participate in the fit of each strategy with current market conditions

QUALIFICATIONS

SHARE your unique expertise
We welcome different combinations of skills & experiences.

Your qualifications and experience:

  • Leading business schools, engineering schools or universities (end of studies students preferred). A specialization in Real Estate is also appreciated
  • Previous experiences in a financial institution or in a real estate company

Your knowledge and skills:

  • Proven financial analytical skills
  • Fluency in English required, French proficiency is a plus
  • Advanced skills in Excel (modelling). Knowledge of Bloomberg is an advantage
  • Strong interest in the Real Estate Finance sector and understanding of AXA IM – Alts position within it
  • Team player
  • Ability to multi-task and work under pressure
  • Desire and flexibility to learn and grow in a fast-paced environment
  • Very thorough mind with excellent attention to detail and capacity for synthesizing

We would love to know more about you. Let’s connect! Send us your resume.

Responsibilities
  • Transaction Analysis Accountabilities:
  • Participate in the review of European Real Estate debt transactions across the investment spectrum i.e., gain knowledge of the diversity of sectors (Office, Retail, Hotel, Residential, Logistics) and instruments (Loans/Bonds/securitization).
  • Produce thorough Real Estate investment analysis, create tailored cash-flows/valuation models to simulate various scenarios
  • Prepare and present Investment Committee Memorandums and perform investment due diligence and assist in the closing of deals.
  • Company Analysis:
  • Elaborate short memos to improve the team’s knowledge on specific topics but also produce thorough corporate and financial analysis of Property Companies, or of specific sponsors and tenants as part of Investment Committees’ preparation.
  • Portfolio Management & Monitoring:
  • Assist fund managers in the daily management of their specific funds which includes participating in their monitoring (portfolio performance, derivatives, cash management, reporting to clients, follow-up of borrowers/agents’ requests …) of the funds. Those tasks will be performed using fund management software and in collaboration with the middle-office team.
  • Development:
  • Involved in the team’s strategic development and participate in the fit of each strategy with current market condition
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