Portfolio Management Analyst

Starwood Capital GroupNew York, NY
281d

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About The Position

The position involves updating and completing quarterly investor reports for all fund investors, which include commentary, financial snapshots, and returns projections such as profit and IRR. The reporting packages will consist of overviews of each fund and summary pages for individual investments. Additionally, the role requires creating presentations for the annual investor meeting that cover market outlooks, fund performance summaries, and individual investment summaries. The candidate will maintain rollup financial models for each of Starwood Capital's funds, ensuring the accuracy of all information, including historical and projected asset cash flows, investor contributions/distributions, and fund-level expenses. Tracking and analyzing asset and fund information using the group's proprietary databases is essential for producing all fund-related analyses and financial reporting. The candidate will also be responsible for continually improving financial models and processes to enhance efficiency and quality, proactively highlighting and communicating fund and asset-specific issues and opportunities, and assisting with ad hoc projects and analyses as needed. Communication with various departments across the firm, including Asset Management, Acquisitions, Capital Markets, Fund Accounting, Property Accounting, Investor Relations, Legal, Treasury, and Design, is a key aspect of the role. Support will also be provided to the Head of Portfolio Management and team, Asset Management, Investor Relations, and the CEO/CFO as necessary.

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