Associate Vice President, Portfolio Oversight

CIM Group, LPLos Angeles, CA
Onsite

About The Position

The Investments Group at CIM is comprised of investments and portfolio management professionals working collaboratively to a) source, structure and execute new investments, and b) ensure that investment and fund performance aligns with the fund objectives. The Portfolio Oversight function leads coordinated efforts to design the composition of CIM’s funds, maximize the value of its investments to drive fund performance, and communicate ongoing fund performance to investors and prospective investors. As a critical part of the Investment Group, this position will provide portfolio oversight support to a subset of funds and/or investment vehicles within the firm’s Real Estate Equity platform, in partnership with the lead PO. Additionally, this role will offer significant exposure to CIM’s wide range of investment platforms active in principal investing across the Real Assets industry.

Requirements

  • 4+ Years’ prior experience in Real Estate or Investment Banking or related field.
  • Must be willing to travel up to 25% of the time, both domestically and internationally.
  • Demonstrated competence with Microsoft Office including Outlook, Excel, PowerPoint and Word.
  • Demonstrated experience with financial modeling.
  • Familiarity with and ability to read, analyze and interpret complex legal documents, such as fund organizational documents and side letters.
  • Ability to respond clearly and concisely to the most sensitive inquiries in written and verbal format to a wide range of audiences.
  • Ability to effectively interact with both internal and external parties on complicated topics and sensitive matters.
  • Ability to calculate, analyze, and explain real estate related return metrics and other variables.
  • Ability to comprehend and analyze general economic data and statistics.
  • Ability to define problems, collect data, establish facts and draw valid conclusions.

Nice To Haves

  • MBA preferred.

Responsibilities

  • Act as subject matter expert on the strategy and underlying investments to ensure decisions regarding individual assets are made with an eye towards the impact on the portfolio as a whole.
  • Work with investment acquisitions team to evaluate the risk/return and potential fit of new investments.
  • Review of underwriting models and investment memos.
  • Participation in weekly pipeline and deal screening discussions.
  • Assessing how proposed acquisitions impact portfolio exposures by sector, geography, duration, leverage, and income stability.
  • Providing feedback on pricing, structure, and assumptions.
  • Play a key role in driving the fund composition, translating top‑down strategy into acquisition and disposition decisions.
  • Developing and maintaining target portfolio allocations by sector, market, and risk profile.
  • Monitoring concentration limits, diversification targets, liquidity needs, and alignment with investor guidelines.
  • Evaluating market, valuation, and capital markets trends to inform go‑forward portfolio positioning.
  • Developing hold/sell analyses across the portfolio.
  • Work closely with investments acquisitions team to oversee and monitor the overall performance of all assets in the portfolio.
  • Track progress of each investment against its business plan.
  • Collaborate with other CIM departments to make recommendations for asset-level decisions, including leasing, property management, development, and construction.
  • Hold various internal groups across CIM accountable for delivering against stated business plan objectives.
  • Review and share recommendations/insights on annual budgets and business plans.
  • Review and present quarterly third-party appraisals to senior management.
  • Provide detailed and regular updates to investors and internal stakeholders.
  • Meet the needs of existing and prospective partners and co-investors to support our portfolio’s activities by acting as subject matter expert on the strategy, composition and performance of the Fund.
  • Market research.
  • Investor and Consultant reporting (Quarterly Variance Analysis, Update reports, etc.).
  • Assisting in the development of presentations and materials to support marketing and due diligence efforts (Flipbook, Annual and Quarterly reports, DDQ, Case Studies, etc.).
  • Participate in Partner and Co-investor meetings, calls and tours.
  • On-site and off-site due diligence meetings.
  • Investor negotiation (side letters, closings).
  • Assist with new product creation including the launch of new funds and co-investment opportunities.
  • Legal / regulatory requirements (PPM, LPA, Separate Account etc.).
  • Development of presentations and materials to support marketing and due diligence efforts (Flipbook, DDQ, Case Studies, etc.).
  • Lead internal education efforts for internal stakeholders of any new products.
  • Mentorship + work oversight for 1 or more PO Associates/Analysts.

Benefits

  • A variety of Medical, dental, and vision benefit plans
  • Health Savings Account with a generous employer contribution
  • Company paid life and disability insurance
  • 401(k) savings plan, with company match
  • Comprehensive paid time off, including: vacation days, 10 designated holidays, sick time, and bereavement leave
  • Up to 16 hours of volunteer time off
  • Up to 16 weeks of Paid Parental Leave
  • Ongoing professional development programs
  • Wellness program, including monthly and quarterly prizes

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Number of Employees

501-1,000 employees

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