Modelling portfolios of NPLs and real estate for valuation and business planning
Modelling mezz loans and equity investments for valuations and business planning
Liaising with asset management teams and running various scenarios including exit analysis, refinancings etc.
Both ad hoc and regular analysis and reporting on both the investment and fund level, including requests from CEO, external investors and fund partners
Deal and fund reporting; development and maintenance
Analysing financial and management reports and large data sets
Requirements:
Bachelor's degree in Finance, Economics, Mathematics or related business field preferred
CFA qualification desirable (or studying towards)
Strong Excel cashflow modelling skills are essential
Produces quality analyses through thoughtful andprehensive approach to the task
Fluent in spoken and written German and English language is mandatory
Experience working with normalised databases, structured references, and data models
Real estate and/or NPL experience is necessary
Working in or with other European countries an advantage
Previous exposure to asset management operations / strong interest inmercial activities of asset management