Fund Management Associate at Lendlease
Milano, Lombardia, Italy -
Full Time


Start Date

Immediate

Expiry Date

13 Jul, 25

Salary

0.0

Posted On

13 Apr, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

Lendlease’s global investment management platform spans Europe, Australia, Americas and Asia. Our investment professionals manage a multi-billion dollar global portfolio of property assets via funds and separate mandates.
We invest on behalf of pension funds, sovereign wealth funds, investment managers and insurance companies, offering our investment partners access to quality property assets.
Lendlease Italy SGR Spa is the Italian asset management company of Lendlease Group. The setup of the Company is fully aligned with the Group Strategy of providing exceptional level of services and execution capabilities to investors through the integrated management of three different business lines: investment management, development management and construction.
The Role
As the Fund Management Associate for Lendlease Italy SGR, you will contribute to the day by day activities of Fund and Asset management business unit, contributing to the execution of financial modelling, evaluating and monitoring the performance of existing investments to achieve targets and fund growth objectives, dealing with property managers and service providers to achieve specific fund goals.

What will you do?

  • Prepare and update fund business plan (with variances analysis and sensitivities for lenders, investors, control functions, etc…)
  • Support the assets market valuation process (collect and provide information to third parties, critical analysis on market valuation report provided)
  • Provide support to the preparation of Company and regulatory reports which may include preparing performance reports for Investors Relations, generating economic assessment reports for senior Investment Management staff and/or collating information for statutory accounts and financial reporting requirements
  • Support in preparing investors’ report and analysis (including variances one) on Funds under management
  • Support in preparing financial and strategic documentation for Sgr BoD, investors, lenders and any other Fund stakeholders

What you will bring

  • A minimum of 3 years’ experience in a similar role
  • Financial modelling and analytical skills with the ability to create, amend and test financial models and forecasts
  • Economic/financial background
  • Good analytical and communication skills with the ability to interpret financial information
  • Planning and Organising
  • Problem Solving and Analytical Thinking
  • Fluent in Italian and English language is essential

Belong at Lendlease
We offer workplaces that unite diverse minds; where respect, equal treatment and equal opportunity are just the norm.
We are a disability inclusive employer. Click
here
to see our standard recruitment process. If you need any adjustment or changes to the process,
email
us to let us know if you have a preferred communication method.
We build careers, develop skills, and invest in people. Imagine what more you can do here.
We particularly encourage applications from currently under-represented groups in our industry including those who self-identify as women, black, Asian, minority ethnic, lesbian, gay, bisexual, transgender and/ or disabled.
Lendlease is committed to being a diverse and inclusive employer of choice by engaging, enabling and empowering our people. All qualified applicants will receive consideration for employment and we are happy to consider flexible working arrangements. Inclusion sets us all up for success and we particularly encourage applications from currently under-represented groups in our industry including those who self-identify as women, black, Asian, minority ethnic, lesbian, gay, bisexual, transgender and/ or disabled

Responsibilities
  • Prepare and update fund business plan (with variances analysis and sensitivities for lenders, investors, control functions, etc…)
  • Support the assets market valuation process (collect and provide information to third parties, critical analysis on market valuation report provided)
  • Provide support to the preparation of Company and regulatory reports which may include preparing performance reports for Investors Relations, generating economic assessment reports for senior Investment Management staff and/or collating information for statutory accounts and financial reporting requirements
  • Support in preparing investors’ report and analysis (including variances one) on Funds under management
  • Support in preparing financial and strategic documentation for Sgr BoD, investors, lenders and any other Fund stakeholder
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