Affordable Asset Manager

Walker & Dunlop•Bethesda, MD
•$100,000 - $110,000•Hybrid

About The Position

We are Walker & Dunlop. We are one of the largest providers of capital to the commercial real estate industry, enabling real estate owners and operators to bring their visions of communities — where people live, work, shop, and play — to life. We are committed to creating meaningful social, environmental, and economic change in our communities. W&D Affordable Equity (formerly Alliant Capital) is a leading tax credit firm focused on tax credit syndication for the development and financing of affordable multifamily rental housing. As a syndicator of Low-Income Housing Tax Credits (LIHTC), W&D Affordable Equity raises corporate equity and monitors the development, construction, lease-up, and permanent financing phases of its investments. With a dedicated team of experienced real estate, asset management, legal, and tax professionals, we provide the highest level of fully integrated real estate and investment support services.

Requirements

  • Bachelor’s degree in Business Administration, Finance, Economics, Accounting, or a related field; equivalent experience considered.
  • 5+ years of experience in affordable housing asset management, particularly LIHTC portfolios.
  • Strong background in real estate operations, financial analysis, budgeting, reporting, and general accounting.
  • Experience managing financial performance across a portfolio of properties required.
  • Strong written and verbal communication, presentation, interpersonal, organizational, and negotiation skills.
  • Advanced analytical and problem-solving abilities, with strong knowledge of accounting principles and the ability to interpret financial statements and underwriting models.
  • Proficiency in portfolio and investment analysis, including IRR, XIRR, NPV, NOI, cap rates, DSCR, sensitivity analysis, equity installment tracking, yield maintenance calculations, and cash flow distributions.
  • Ability to present complex financial and portfolio analysis to Senior Management and collaborate effectively within a broader asset management team.
  • Ability to manage multiple priorities in a fast-paced environment while exercising sound judgment and maintaining a positive, team-oriented approach.
  • Strong attention to detail and ability to oversee portfolio data integrity and reporting accuracy.
  • Proficiency in Microsoft Office applications.
  • Ability to show ownership of your work, take on challenges and acknowledge growth opportunities, and demonstrate patience when learning new processes.
  • Courtesy, respect, and thoughtfulness in teaming with colleagues and other stakeholders.

Nice To Haves

  • Workout and restructuring experience strongly preferred.
  • familiarity with Access, FileMaker, PowerPoint, and Crystal Reports preferred.

Responsibilities

  • Partner with Acquisitions during underwriting to evaluate projected operating performance, investment assumptions, partnership structures, sponsor and property management capacity, and relevant market data.
  • Assess deal structure, risk exposure, and overall investment viability.
  • Manage the financial and operational performance of an assigned multifamily LIHTC portfolio.
  • Review monthly property management reports and evaluate key performance indicators, including vacancy, delinquencies, turnover, and budget-to-actual variances.
  • Analyze annual budgets, quarterly financial statements, audited financials, and K-1 tax returns.
  • Monitor construction, lease-up, stabilization, ongoing operations, and compliance with Section 42 and applicable state agency requirements.
  • Evaluate and approve equity installment requests, equity adjustments, yield maintenance calculations, and reserve withdrawals within defined authority limits.
  • Perform surplus cash calculations and coordinate fee and cash flow distributions.
  • Monitor guaranty triggers (completion, operating, and tax credit delivery) and assess guarantor financial capacity.
  • Strengthen property monitoring and risk management processes, including oversight of third-party property management firms.
  • Maintain accurate and complete portfolio records and internal databases.
  • Develop and maintain strong relationships with general partners/sponsors and implement asset management strategies to enhance investment value.
  • Provide refinancing, disposition, acquisition, restructuring, and workout support for distressed assets.
  • Evaluate economic and demographic trends and assess their impact on portfolio performance.
  • Prepare investor reports and deliver presentations to investors, clients, and Senior Management.
  • Other duties as assigned.

Benefits

  • Up to 83% subsidized medical payroll deductions
  • Competitive dental and vision benefits
  • 401(k) + match
  • Pre-tax transit and commuting benefits
  • A robust health and wellness program – earn cash rewards and gain access to resources that promote health, engagement, and balance
  • Paid maternity and parental leave, as well as other family paid leave programs
  • Company-paid life, short and long-term disability insurance
  • Health Savings Account and Healthcare and Dependent Care Flexible Spending
  • Career development opportunities
  • Empowerment and encouragement to give back – volunteer hours and donation matching
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