We are currently partnered with a Real Estate Investment Management firm looking to expand their asset management team out of Miami. The team is focusing on the management and performance optimization of commercial and multifamily assets.
The successful candidate will have 1-4 years of relevant experience, with a strong understanding of asset management principles, financial analysis, and property operations. This role offers an exciting opportunity to contribute to the strategic direction and financial performance of a growing real estate portfolio.
Responsibilities:
- Track and analyze the operational and financial performance of commercial and multifamily assets.
- Develop key performance indicators (KPIs) to assess asset performance, including occupancy, leasing, rent collection, and capital expenditure.
- Regularly review property-level financials, budgets, and forecasts to identify areas for improvement or potential risks.
- Conduct in-depth financial modeling, scenario analysis, and proforma development for individual assets and the overall portfolio.
- Assist in the preparation of monthly and quarterly asset management reports, presenting findings to senior management and investors.
- Perform valuations and provide return-on-investment (ROI) analyses for asset acquisition, disposition, and repositioning opportunities.
- Review and analyze lease agreements, ensuring tenant compliance with terms and conditions.
- Collaborate with property management teams to optimize rent collection processes and identify strategies to increase rental income.
- Work closely with property management and construction teams to monitor ongoing capital projects and ensure they are completed on time and within budget.
- Evaluate capital improvement opportunities that enhance asset value, while managing associated costs.
- Conduct market research to stay informed about local and national real estate trends, including rental rates, occupancy rates, and development activity.
- Use market data to inform strategic decisions related to property positioning and asset management.
- Identify potential risks related to leasing, market conditions, and property operations.
- Collaborate with the risk management team to develop and implement strategies to mitigate financial and operational risks.
Qualifications:
- 1-4 years of experience in real estate asset management, financial analysis, or a related field, with a focus on commercial and/or multifamily properties.
- Proficiency in Excel, including financial modeling, sensitivity analysis, and proforma development. ARGUS preferred.
- Strong analytical and problem-solving abilities, with attention to detail and accuracy in financial modeling.
- Excellent verbal and written communication skills, with the ability to convey complex financial and operational information to senior management and stakeholders.
- Bachelor’s degree in Finance, Real Estate, Business, Economics, or a related field.