Position Overview
The Senior Asset Manager (debt) will play a crucial role in managing and optimizing the portfolio of commercial real estate credit loans. This position requires a deep understanding of commercial real estate finance, covering commercial and multifamily assets.
Key Responsibilities
- Manage and monitor the performance of the commercial real estate loan portfolio, ensuring alignment with company goals and risk parameters
- Conduct regular portfolio reviews and risk assessments, identifying potential issues and recommending mitigation strategies
- Collaborate with the underwriting team to evaluate new investment opportunities and their potential impact on the overall portfolio
- Develop and maintain financial models to analyze portfolio performance and project future outcomes
- Prepare detailed reports on portfolio performance for senior management and investors
- Work closely with asset management and origination teams to optimize portfolio returns and manage risk
- Monitor market trends and regulatory changes that may impact the portfolio or create new opportunities
- Assist in the development and implementation of portfolio management strategies and policies
Qualifications
Bachelor's degree in Finance, Real Estate, or related field; MBA or relevant master's degree preferred7+ years of experience in real estate finance, with a focus on multifamily and commercial real estate sectorsStrong exposure of bridge lending and structured financeExcellent analytical and financial modeling skillsFluency in Excel, financial analysis software, and portfolio management toolsStrong problem-solving abilities and attention to detailExcellent written and verbal communication skillsAbility to work effectively in a fast-paced, team-oriented environmentKnowledge of real estate capital markets and investment strategiesFamiliarity with risk management practices in real estate lending