Monitoring and operational management of the funds under your scope
Review and preparation of presentation materials for the current/prospective investors, investment & risk committees including quarterly reports and on-demand reporting
In charge of the financial modelling review and update, business plan deviation analysis, and the forecast of the portfolio\\\'s cash flows, including the review of the actuals and ad-hoc analyses
Review of the due diligence package for new investments (investment memos, various reports, property valuations, etc.)
Development of new & existing tools to track various metrics on asset performance and the portfolio
Research on recent market activities/trends on some defined investment strategies to develop market intelligence as well as to prepare suitable marketing materials to share with prospective clients and the sales team
A rare opportunity in the French-speaking Swiss market |Varied strategies and asset classes
Bachelor or Master\\\'s degree from an accredited institution; preferably in a subject area demanding high analytical aptitude
A minimum of 3 years\\\' experience in a similar position in Switzerland, in a Private Equity Firm, Fund/Asset Manager or Investment Bank
Strong demonstrable interest in real estate
High level analytical and numerical skills with solid knowledge of financial accounting
Dynamic, proactive, able to create and foster a good working climate within the team
Proficient user of Excel, able to easily build spreadsheets and financial models
You are highly numerate and able to handle analysis of large data sets with attention to detail
Good resistance to the pressure required to perform and manage multiple issues and projects at the same time
Excellent writing skills in English and French with very good communication and presentation skills
Our client is a fast growing real estate investment firm.