Associate - Real Estate Debt, Portfolio Management
| Job Type | Permanent Full Time |
| Location | London |
| Area | London , England |
| Sector | Private Equity & Venture Capital - Associates |
| Salary | £95000 - £110000 per annum + Bonus |
| Currency | GBP |
| Start Date | ASAP |
| Job Ref | RE/PM_1786028792 |
| Job Views | 10 |
- Description
Our client is a leading European real estate investment manager they are now hiring an Associate into the portfolio management function of its debt and value-add strategies platform.
The platform invests fund capital across real estate debt and value-add equity throughout Europe and is one of the more established alternative lenders in the market, with a multi-billion euro track record across whole loans, senior and mezzanine strategies. The business continues to launch new vehicles and strategies alongside its existing funds.
The team:
You'd join a small, high-visibility portfolio and loan asset management team that sits across every investment on the platform. It's a broad seat - genuinely front-to-back exposure to fund performance, investor relations and strategic projects, rather than a narrow reporting role.
The role:
- Analysing and forecasting fund and mandate-level performance across completed deals
- Deal and portfolio-level analysis - building performance scenarios, assessing risk allocation and diversification
- Preparing investor communications end to end (quarterly reports, MDD/ODD, ESG reporting) and coordinating investor calls and conferences
- Working directly with fund managers, investors, borrowers and internal stakeholders
- Contributing to platform-level strategic initiatives - warehouse financing vehicles, bond wrappers and wider fund matters
- Building asset models and supporting Investment Committee memos on loan restructures and workouts
- Partnering with the fund manager and IR team on fund strategy and fundraising
Candidate requirements:
- 3+ years in private equity, banking or commercial real estate
- Proven ability to analyse and model complex deals and financial structures
- Strong Excel modelling; VBA or Python a real plus
- Comfort with complex capital structures and financial statement analysis
- A genuine interest in technology - they want someone actively applying AI and LLM-based tools to work smarter
- Real estate investment knowledge, with debt experience an advantage
- European languages welcome but not essential
- Self-starter, strong communicator, and someone who'll thrive in a lean team





