Portfolio Manager

D.I. Management, LLCDallas, TX
Onsite

About The Position

Dalfen Industrial is looking for a Portfolio Manager to join the Dallas team. This role will be responsible for strategic planning, financial analysis, reporting, and overall fund management. The Portfolio Manager will report to the Managing Director of Portfolio Management.

Requirements

  • Undergraduate degree required, preferably in Business, Commerce, Finance, Accounting, Real Estate or equivalent.
  • 5+ years of related real estate investments, private equity, and portfolio management experience.
  • Excellent analytical and financial modeling skills are essential.
  • Strong knowledge of Argus, Yardi and Excel.
  • Must be able to work in fast-paced environment with ability to effectively and efficiently manage multiple projects.
  • Exceptional written and verbal communication skills, including ability to articulate recommendations in concise and timely manner.
  • Ability to work effectively in a team.

Nice To Haves

  • Advanced degree and/or professional designation, (i.e. RPA, CFA and/or CPM) an asset.

Responsibilities

  • Track investment objectives, asset allocation, risk management, risk strategies, diversification, and watchlist items.
  • Calculate and analyze fair market valuations using revised quarterly cash flow projections and market data.
  • Collaborate with the debt capital markets team to run analysis on investment level debt concerns to proactively manage the funds.
  • Analyze and recommend optimal time to dispose of assets to maximize fund performance.
  • Assist in cash planning initiatives to manage the fund’s liquidity and recommend appropriate funding vehicle (subline vs. equity). Run stress scenarios to ensure optimal fund liquidity.
  • Participate in the quarterly track record update process.
  • Collaborate with our Asset Management team to monitor the performance of the existing real estate portfolio, including property operations, leasing, financial performance, and capital improvements. Identify opportunities to enhance and maximize fund performance.
  • Prepare comprehensive reports and dashboards on portfolio performance, financial analysis, and market trends to present to senior leadership. Assist in the preparation of quarterly investor letters.
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