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HIMCO (The Hartford Investment Management Company) is seeking an Assistant Real Estate Asset Management Analyst to assist in managing a variety of equity and debt assets as part of their $12 billion (plus) Private Real Estate Portfolio.
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Applicable degrees include investment management, business administration, accounting, finance, financial management, real estate, agriculture, economics, mathematics, statistics, physics, chemistry, law, humanities, or related field.
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Experience: Minimum of 5-7 years in Corporate Real Estate portfolio management in a multi-site corporate environment, or similar management position of large multi-site portfolio, preferably with a Financial Institution.
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Prepare quarterly and as needed financial reports on the performance of BRC's real estate portfolio to the CEO, CFO, Chief Real Estate Development Officer, VP of Housing, and Chief Administrative Officer.
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Georgia Pacific's Property Management group is seeking a Real Estate Investment Analyst to join the team based in Atlanta, GA. GP's Corporate Real Estate group supports with managing, sourcing, analyzing, and executing property opportunities in addition to asset M&A, executing divestitures and other strategic projects.
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Analytical Thinking, Commercial Real Estate, Competitive Advantages, Consumer Lending, Credit Risk Management, Data Analytics, Decision Making, Financial Operations, Portfolio Risk, Risk Appetite.
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Self-Help is seeking a Portfolio Analyst to join our team in Durham, NC. The Portfolio Analyst provides critical, high-level project support to the Commercial Loan Risk Management Team. Responsibilities include leading and supporting projects and analysis for risk assessment, risk mitigation, and process improvements for a growing commercial loan portfolio.
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Division Overview: NYCEDC's Portfolio Management Division manages real estate properties and non-traditional assets across all five boroughs of New York City including commercial and industrial real estate properties as well as transportation, critical infrastructure, and energy assets.
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As an Associate Financial Risk Analyst, you will work as part of this team with a focus on model governance and support the model inventory process, issue tracking and management reporting.
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As a member of the Risk and Performance Team, and under the general supervision of the Finance Manager/Team Leader, the Financial Analyst will support the credit union's interest rate risk management, liquidity management, and revenue and expense strategies.
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The Portfolio Manager is responsible for the proactive management of IFF loans post-close to monitor borrower compliance, identifying areas of risk, evaluating borrowers' long-term viability/performance and proactively mitigating potential defaults and loan loss.
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Real Estate, Analyst. 1+ years of relevant experience, including real estate, finance or asset management. Macquarie is a global financial group providing clients with asset management, retail and business banking, wealth management, leasing and asset financing, market access, commodity trading, renewables development, specialist advisory, capital raising and principal investment.
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The Real Estate Analyst will coordinate and perform property inspections and provide support to our underwriting teams, Fannie Mae, Freddie Mac, and HUD by reviewing third-party reports.
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Role leverages knowledge of historical data analysis, scenario analysis, algebra, statistics, probability, portfolio theory, risk and return, present value, discounted cash flows, forwards, futures, options, interest rates, liquidity, credit, game theory, logic, binomial tree modeling, comparable analysis, market efficiency theory, energy markets, and economics to maximize value.
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The Associate Loan Administrator interacts across all Commercial Real Estate Group (CREG) departments including Loan Origination, Asset Management, Closing and Portfolio Analytics, as well as with third party mortgage broker counterparts (a/k/a correspondents.
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