- Participate in the sourcing, assessment and structuring of investment opportunities by critically evaluating the merits and risks of the investment through the development of financial metrics, models, and sensitivities.
- Identify differing economic and performance scenarios that appropriately bracket an investment's potential performance and prepare models to measure the economics of the transaction.
- Develop an appropriate capital structure for an investment based upon its business plan and key risks to performance through analysis and discussions with sponsors, market participants and investment professionals.
- Understand the physical characteristics of each property, and the related competitive advantages and disadvantages it offers.
- Assess and critically evaluate the existing and potential operating characteristics of a project (revenue, expenses, capital expenditures, tenant credit, and leases).
- Identify and understand a project's market positioning; gather market information through independent field work and direct contact with brokers, appraisers, and developers. Synthesize information and draw a conclusion on the business plan including future market rent, absorption, vacancy, and liquidity in the investment market.
- Perform credit analysis of potential sponsors. Critically assess the execution ability of the sponsor team for a project.
- Prepare a comprehensive investment submission and communicate conclusions and investment risk in a narrative presentation to senior management including approval through participation in Investment Committee.
- Perform ad-hoc analyses for asset management, capital markets, and investor relations teams.
- BS or Master's Degree in finance, real estate, or related field
- 2-4 years Relevant experience in Real Estate Finance or Real Estate Private Equity in Europe
- Expertise in Excel, Powerpoint and the overall financial valuation and modelling process
- Solid understanding of and ability to model multiple asset classes
- Talent for managing multiple projects simultaneously
- Ability to quickly and efficiently perform tasks, maintaining a focus on details
- Ability to perform market analysis, including rent and sales comparable studies, "on the ground" market tours, meetings with brokers and market experts
- Ability to assess qualitative and quantitative characteristics of properties and/or investments
- Ability to summarize thoughts into a concise manner and effectively communicate (written and verbal) both internally and externally (changes in a model, financial metrics, investment thesis)
- Should have relevant transactional experience in real estate debt
- Strong Integrity and Professionalism
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Associate, Real Estate Debt - London, United Kingdom - Ares Management Corporation
Description
Description
The Ares Real Estate Debt team is seeking an investment professional to join their London team. The position will play a highly visible and key role in the investment process, assisting deal teams in the sourcing and assessment of short-term debt, equity and mezzanine investment opportunities in core, core plus, and value-added oriented commercial real estate projects throughout Europe.
The Ares Real Estate Debt team focuses on directly originating loans using its extensive relationships with various owner-operators, sponsors, and intermediaries of real estate properties. We seek to provide flexible financing across a potential borrower's capital structure. While we focus on self-originated transactions, we will also selectively pursue secondary market acquisitions and club/syndicated transactions.
Primary Functions & Essential Responsibilities
Education
Experience Required
Reporting Relationships
Head of European Real Estate DebtThere is no set deadline to apply for this job opportunity. Applications will be accepted on an ongoing basis until the search is no longer active.