Work in partnership with real estate asset management & investing teams to oversee/manage investment positions within funds and on balance sheet, with a focus on ensuring a consistent approach to strategy, analysis and reporting across the US and globally .Collaborate with all internal stakeholders, develop insightful, value-add analysis on the portfolio and ensure comprehensive understanding of strategies and underlying assets is shared
Key Priorities / Focus Areas
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Portfolio Management: Create and maintain tools to support the oversight of portfolio performance and drive accretive decision making to both enhance firm returns and mitigate risk
- Create dynamic models able to run impacts to portfolios with various sensitivities to determine optimal returns for outperformance
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Fund / Firm Management: Coordinate with numerous internal constituents to facilitate all aspects of reporting, analysis and fund operations, including:
- Support Portfolio Management team by providing insights on best practices on fund management (i.e. cash management, portfolio level returns, investor reporting, etc.)
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Produce and oversee quarterly valuation process along with reporting materials
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Forecast P&L forecasting for firm budgets
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Participate in business plan reviews and create Portfolio based reporting materials semi-annually
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Work with several teams outside Portfolio Management teams including Acquisitions, Asset Management, Fund Management, Controllers, Finance Management & Execution, and Alternative Capital Markets and Strategy
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Calculate and maintain disposition metrics including promote, gain on sale, and return metrics for the various investing entities
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Streamline Reporting: Coordinate with Asset Management, Strats, and Engineering:
- Develop and support unified modeling, data systems/reporting and aggregation systems
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Leverage technology to generate value-add reporting for Business Unit leadership, Asset Management and Portfolio Management groups, and the ACMS team
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Provide in an organized, efficient and consistent manner:
- Regular and ad-hoc reports and supporting data,
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Business Plan schedule, including the preparation on Portfolio Overviews/Roll-ups, and
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Valuation reporting data
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Infrastructure Uplift: Work with the Asset Management teams to revamp and standardize:
- Business Plan models, with an eye to having templates pre-populated from centralized database and Cash Flows stored in a centralized database
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Data input and storage systems, with a focus on centralizing one source of truth vs current situation of multiple input systems and databases
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Data fields for key definitions (e.g. LTV, NOI, All-In-Cost, Assets Under Management, etc.)
Qualifications
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Bachelor’s degree from a top-tier university (Business related majors), CPA and or CFA a plus
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3+ minimum years of experience in real estate fund management and/or portfolio management, with preference for previous experience in institutional fund environment, Core Fund, REIT, Big 4, or top-tier investment bank
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Experience leading analysts/associates
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Strong project management skills as well as ability to manage senior leadership
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Strong communication and presentation skills
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Ability to work in a fast-paced and challenging environment; set prioritization for the team
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Advance working knowledge of Microsoft Excel, PowerPoint, and Word products
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SQL or other database skillsets are a plus
About Goldman Sachs
At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world.
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