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Job Description
Structured overview of role & requirementsAbout This Role
Provide backend support to real estate investment fund management teams across investor reporting, data management, portfolio and asset control, and transaction support for diverse asset types.
Build, maintain, and validate data sources; prepare monthly, quarterly, and annual investor reports for global real estate funds covering EMEA, APAC, and Americas.
Collaborate with cross-functional teams including finance, asset management, portfolio management, strategy, research, and sustainability to summarize fund performance and deliver accurate, polished presentations.
Minimum Requirements
3–4 years of commercial real estate experience with proficiency in CRE processes such as lease analysis, tenancy schedules, valuations, portfolio cashflow projections, operating statements, loan abstraction, Argus modeling, appraisal review across all asset types.
MBA in Finance, Real Estate, or related discipline (or equivalent education and experience).
Strong Excel, PowerPoint, and Word skills including advanced financial modeling; solid understanding of DCF, IRR, NPV, ROE, and Debt Returns.
On-site location requirement: Hyderabad, Telangana, India.
Ideal Candidate Profile
Experienced in real estate investment fund environments, comfortable working with diverse asset classes including multifamily, retail, office, hotel, and industrial.
Strong quantitative and analytical skills with ability to produce accurate, detail-oriented financial analysis and reporting under deadlines.
Able to effectively collaborate with global stakeholders and cross-functional teams to support fund performance analysis and decision-making processes.
