Senior Real Estate Financial Analyst

About the Role Our client, a prominent real estate investment fund, is actively seeking a Senior Real Estate Financial Analyst to join their fully remote team. This critical role will involve detailed financial analysis of existing and potential real estate investments, performance tracking, and strategic financial planning. You will work closely with the acquisitions, asset management, and finance departments to support investment decisions, optimize portfolio performance, and manage financial risks. The ideal candidate will possess strong quantitative skills, advanced financial modeling capabilities, and a deep understanding of real estate finance and investment principles. This position offers the opportunity to make a significant impact on the firm’s investment strategies and financial outcomes, working collaboratively with a geographically dispersed team. Excellent communication skills and the ability to present complex financial information clearly are essential for this remote position. Key Responsibilities Develop and maintain sophisticated financial models for property valuations, cash flow projections, and investment return analysis. Conduct in-depth financial due diligence for potential acquisitions and dispositions. Analyze portfolio performance, identify key drivers of financial results, and provide actionable insights to senior management. Prepare financial reports, investment summaries, and presentations for internal stakeholders and external partners. Monitor market trends and economic indicators that may impact real estate investments. Assist in the preparation of annual budgets and forecasts for real estate assets and portfolios. Evaluate financing structures and debt strategies for new investments. Collaborate effectively with remote teams across acquisitions, asset management, and legal departments. Ensure accuracy and integrity of financial data and reporting. Support the capital raising and investor relations functions as needed. Requirements Bachelor’s degree in Finance, Economics, Accounting, or a related quantitative field; CFA or advanced degree is a plus. Minimum of 5 years of relevant experience in real estate financial analysis, investment banking, or corporate finance. Expert proficiency in financial modeling using Excel, including DCF, LBO, and sensitivity analysis. Strong understanding of real estate investment principles, valuation methods, and market dynamics. Excellent analytical, problem-solving, and critical thinking skills. Exceptional written and verbal communication skills, comfortable presenting complex data remotely. Experience with financial databases and software (e.g., Bloomberg, CoStar, Argus). Ability to work independently, manage multiple projects, and meet tight deadlines in a remote setting. High level of attention to detail and accuracy. Experience with the Sheffield or broader UK market is beneficial. Benefits Highly competitive salary and a substantial performance-based bonus. Comprehensive health, dental, and vision insurance. Generous paid time off and holiday entitlement. Opportunities for professional development, including financial certifications. 401(k) or equivalent pension plan with employer match. Home office technology stipend and support. Access to cutting-edge financial analysis tools and industry data. Regular virtual team-building events and cross-departmental collaboration. Key role in a successful and growing real estate investment firm.

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