Asset Management Analyst - Real Estate Debt Finance
March 13, 2018
London, United Kingdom
We are not your average financial services firm and our unique culture is just one aspect that makes us stand out from the crowd. We offer a supportive environment that encourages innovation and creativity whilst maintaining a healthy lifestyle balance. You will be joining one of Europe's leading Investment Management firms where you can expect real responsibility and recognition from day one. We are large enough to offer a wide variety of career opportunities, whilst small enough to treat you as an individual and tailor training and development to your specific needs.
We are looking for a motivated individual looking to work in the real estate finance area, specifically in mortgage loan asset management. Prior experience in loan asset management and/or servicing required as is experience within the Real Estate Finance space.
* Direct responsibility for loan management and reporting for portfolio of performing commercial mortgage loans on properties in UK and Europe. * Work with investment team to "on-board" new loans from date of investment until final pay-off or resolution. * Monitoring quarterly loan reporting received ensuring all required information is received on time and filed accurately, liaising with servicers, agents and borrowers as needed to gather deal information or request any further information that may be required. * Using information gathered on a quarterly basis to monitor loan balances, amortisations expected versus amortisation received and other deal specific items including prepayments. * Work with investment team to analyse and approve borrower requests for lease approvals, loan modifications or consents. * Produce internal portfolio reporting for loan investments ensuring detailed information is reported which will provide a tool to help form deal level strategy. * Carrying out analysis on the information received including: confirming covenant compliance, checking rent rolls for anomalies, and querying unusual/ unexpected results with the relevant parties. * Monitoring and Pricing of hedging instruments utilising Bloomberg. * Work with investment and/or restructuring team on underperforming assets. * Producing investor specific reporting for real estate debt fund investors on quarterly and ad hoc basis. * Assist with ensuring the real estate debt funds meet all their reporting requirements to investors, authorities, M&G Compliance and with other relevant departments or service providers as dictated by the operating models of the respective funds.
You will have strong analytical, organisational and communication skills and must work well within teams.
A Bachelor's or Master's degree- ideally in Accounting, Finance, Legal, or Real Estate is preferred.
In order to be successful in this role you will have prior proven experience in real estate loan asset management. You should be someone who wishes to build on this as the next step in a long term career in real estate, finance and/or funds management. You must also l be capable of working with minimal supervision.
M&G is committed to a diverse and inclusive workplace. Our role as an employer is very simple - to provide the right environment for talented people to do their best work, by respecting, understanding and valuing individual differences.
We welcome applications from individuals who have taken an extended career break, and we are willing to consider flexible working arrangements for all of our roles.
Internal Number: 2974228
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