SREIT Portfolio Management Analyst

Starwood Capital GroupNew York, NY
10d

About The Position

Starwood Real Estate Income Trust, Inc. is a perpetual-life, monthly NAV REIT that directly invests in high quality, stabilized, income-producing real estate. SREIT is managed by Starwood REIT Advisors L.L.C., a subsidiary of Starwood Capital Group. The Portfolio Management Analyst will play a key role in supporting SREIT’s valuation and performance reporting processes. This opportunity offers significant exposure to many SCG team members including Asset Management, Capital Markets, Acquisitions, Finance and Investor Relations.

Requirements

  • Bachelor’s degree in real estate, finance, business or related area with strong GPA
  • 1-3 years relevant experience preferred, including portfolio management, real estate valuation, acquisitions, asset management, or finance
  • Experience with open-ended real estate fund finance, valuations and performance reporting
  • Familiarity with financial modeling, including discounted cash flow analyses
  • Proficient in Microsoft Excel, Word and PowerPoint. Argus a plus.
  • Experience in managing, updating, analyzing and presenting large quantities of data
  • Excellent communication skills (both written and oral)
  • Strong analytical and quantitative skills and detail-oriented
  • Highly organized and ability to multitask with many priorities
  • Authorization to work in the United States

Responsibilities

  • Support monthly valuation process for SREIT, which includes global investments across multiple sectors, primarily multifamily and industrial
  • Prepare and maintain internal valuation models (Excel, Argus, Anaplan), utilizing input from Asset Management and independent market research
  • Assist in the quarterly review of third-party real estate appraisals, including coordination of supporting documentation and analysis of assumptions and discounted cash flows
  • Analyze monthly property performance including rent growth, occupancy, NOI growth, capital spend, distributions, and return projections
  • Produce asset and fund level reporting for senior management, investors and board of directors on a monthly and quarterly basis
  • Create and maintain financial models for SREIT to assist senior management in key decision-making processes such as acquisitions, dispositions, refinancings and capital spend
  • Aid in valuation automation and AI projects intended to enhance efficiencies in the group’s reporting processes, procedures and analytics
  • Support SREIT’s Finance and Investor Relations teams on an ad hoc basis for due diligence and/or investor requests
  • Perform ad hoc sensitivities and analyses to assess impacts to portfolio valuations or returns
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