Asset Management Analyst - Multifamily

MBK Real Estate CompaniesIrvine, CA
$110,000 - $120,000Hybrid

About The Position

The Asset Management Analyst is responsible for providing financial analysis and related support in executing operational strategies within MBK’s asset management group, working on a portfolio of multifamily real estate assets. This role is critical in helping to drive the strategic growth and performance of the company’s multi-family portfolio by providing advanced financial modeling, market research, and operational analysis. Successful candidates should demonstrate experience with leveraging a strong foundation in real estate development and finance, combined with strategic thinking, analytical rigor, and cross-functional collaboration, to deliver actionable insights that enhance portfolio value.

Requirements

  • Bachelor's Degree in Real Estate, Finance, Business, Engineering, or other related field.
  • 2+ years related financial modeling experience with a strong understanding of financial and real estate concepts such as DCF, IRR, NPV, NOI, cap rates, etc, preferably in an institutional multi-family setting
  • Must possess strong analytical mindset, as well as excellent written and verbal communication skills.
  • Advanced proficiency in Excel financial modeling; including financial projections and scenario analysis.
  • Strong understanding of real estate capital markets, financing structures, and value creation strategies.
  • Proficient in return metrics (IRR, equity multiple, yield-on-cost) and how they relate to development risk and capital stack structure.
  • Microsoft Suite competency.
  • Critical thinker with keen observation skills and an ability to draw conclusions in order to form actionable hypothesis.
  • Excellent communication and presentation skills, with the ability to synthesize complex data for senior leadership.
  • Strong financial literacy with the ability to interpret and analyze income statements, balance sheets, and other financial documents.
  • Strong written and oral communication skills, interpersonal skills, and ability to work well with others.

Responsibilities

  • Conduct portfolio analysis to benchmark and improve investment performance.
  • Monitor local market conditions including supply, demand, absorption, rents, and vacancy rates, and conduct research
  • Support the annual operating and capital budgeting process.
  • Utilize reports to evaluate asset performance against stated goals and communicate variances
  • Monitor asset performance, including net operating income, cash flow and asset value fluctuations, while progressing towards achieving asset value maximization strategies.
  • Generate and maintain proforma models to evaluate acquisition opportunities, joint ventures, dispositions, and recapitalizations.
  • Perform scenario and sensitivity analyses to assess risk-adjusted returns, IRR, equity multiples, and DCF valuations.
  • Prepare and regularly maintain detailed asset-level reports and dashboards for internal stakeholders and capital partners, with insights on NOI trends, and cash flow forecasts.
  • Leverages a deep, specialized understanding of real estate finance—including IRR, DCF, joint-venture waterfalls, and capital markets—to perform complex analyses.

Benefits

  • competitive salaries with opportunities for growth
  • 401(k) retirement plan with up to 4% employer matching
  • comprehensive industry leading medical, dental and vision insurance
  • company-provided life, disability and AD&D insurance
  • flexible spending accounts
  • generous paid time off including vacation and sick time, holidays, and bereavement leave
  • leadership development, training, and personal coaching
  • education loan assistance and scholarships
  • daily living, financial and legal services
  • childcare and eldercare assistance
  • employee discounts
  • health and wellness resources that include virtual yoga, mindfulness, and financial readiness for employees and their family members
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