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Real Estate - Portfolio Manager (Director)

$162k - $180k
Full-time

Guggenheim Investments

Position Summary The Senior Real Estate Portfolio Manager is the Team Lead, and reports to the Global Head of Real Estate. This employee is accountable for the credit performance, surveillance, and strategic direction of an active commercial real estate (CRE) loan book, and for the day-to-day leadership of the portfolio management team that stewards those investments through their full lifecycle — from post-closing onboarding through modifications, workouts, and payoffs. The Senior Portfolio Manager is a senior member of the real estate leadership team, partnering with originations and underwriting, legal, compliance, tax, operations, and client portfolio management to ensure that investments are managed in accordance with governing transaction documents, client investment guidelines, and applicable regulatory requirements. This role will be based in our St. Louis office, full-time.

Responsibilities

Key Responsibilities:

Team Leadership and Portfolio Oversight

  • Lead, develop, and supervise the portfolio management team, setting priorities and ensuring each asset manager stewards their assigned investments in accordance with approved credit terms and governing transaction documents
  • Establish team structure, coaching plans, and performance expectations aligned to portfolio complexity and growth
  • Supports all monthly and quarterly reporting requirements

Credit Stewardship and Investment Committee Interface

  • Supervise the review of borrower credit requests across the existing portfolio — including modifications, extensions, releases, transfers, assumptions, and workouts — and the preparation of credit memoranda and re-underwriting supporting those requests
  • Interface with the Real Estate Investment Committee to secure required credit approvals and provide recommendations on GRE's credit policies and standards

Portfolio Surveillance, Risk Rating, and Stress Testing

  • Establish and maintain investment surveillance and monitoring frameworks and ensure consistent implementation by asset managers and third-party servicers
  • Set loan risk ratings and make determinations regarding placement of investments on monitor and watch lists to actively manage risk and protect client capital
  • Design and execute forward-looking portfolio risk assessments and stress tests, and advise the Investment Committee on overall portfolio strategy, composition, and concentration

Default, Workout, and Cash Management

  • Recommend and direct courses of action upon covenant test failures and events of default
  • Supervise assets in cash management and/or workout status, including review and approval of cash-waterfall payments on commercial mortgage loans
  • Set the strategy for treasury and cash management structures across GRE's advised client investments, and supervise onboarding and establishment of bank accounts for new transactions, ensuring servicer compliance with required protocols

Third-Party Servicer Oversight

  • Manage GRE's third-party loan servicers, monitoring their performance and compliance with individual transaction documents and platform-level agreements
  • Manages and evaluates all insurance related requirements for portfolio investments including site specific and region-specific risks assessment and remediation in connection with claims and settlements

Client Relationship Management

  • Serve as the primary GRE interface with Guggenheim's client portfolio managers, keeping clients informed of portfolio performance and strategy, reporting on debt investment results, and reviewing and verifying payment remittances to clients

Regulatory Compliance and Operational Governance

  • Maintain a current working knowledge of regulatory requirements applicable to insurance-company clients investing in real estate (including NAIC/statutory considerations) and ensure that portfolio activities comply with those requirements
  • Develop and maintain operational procedures for the function in coordination with firmwide policy and procedure standards and operate within the firm's management structure and governance framework

Qualifications

Basic Qualifications:

  • Undergraduate Degree required, preferably with concentrations in Business, Finance, Economics, or related field. MBA and/or CFA is preferred
  • 10+ years of experience as a Real Estate Portfolio Manager in asset management, corporate real estate, or consulting industry

Preferred Qualifications:

  • Technical foundation to grasp various fixed income investment strategies.
  • Problem solving skills and developing ability to independently lead or participate in projects and analyze processes and procedures as assigned.
  • Ability to multi-task effectively in a fast-paced environment.
  • Organized, detail oriented and thorough while developing communication skills to ensure work processes are completed as directed.
  • Team oriented employee with ability to work well with diverse groups.
  • Proficient in Microsoft Word, Excel, Outlook and PowerPoint.

We are not seeking agency assistance with this role.

We are unable to consider candidates who require current or future visa sponsorship for employment in the United States. Candidates must be authorized to work in the US without current or future visa sponsorship or transfer.

The benefits offered for this position:

  • Competitive compensation
  • 401k with matching contribution
  • Healthcare and wellbeing programs
  • Paid leave
  • Learning and development opportunities
  • Family and caregiving support
  • Employee assistance program

Salary Range

Annual base salary between

$162,000.00-$180,000.00

The base salary range represents the low and high end of the anticipated base salary range for this position. Actual base salaries may vary depending on factors such as location and experience. The range listed reflects base salary only, and the total compensation package may include other components such as incentive compensation.

Vacancy posted 1 day ago
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