Sr. Analyst, Asset Management & Investments
$130k - $140kHarbor Group Management
Harbor Group International (HGI) is a leading global private equity real estate investment manager, with $21 billion in assets under management. HGI's vertically integrated platform offers a broad range of both direct real estate and credit strategies across the risk/return spectrum.
Senior Analyst, Asset Management & Investments
Job Title: Senior Analyst, Asset Management & Investments
Location: On-Site Corporate Office - New York, NY
(candidates must currently reside in NYC metropolitan area)
Job Summary
This is a high-visibility, analytically intensive role focused on supporting the company's asset management and acquisition functions across a portfolio of single- and multi-tenant commercial real estate assets. The Senior Analyst will build and maintain financial models, drive portfolio- and asset-level performance analysis, and support the underwriting and closing of acquisitions and dispositions. The role works closely with Transactions, Property Management, Investor Relations, and Accounting, and reports jointly to Asset Management and Investments leadership. It's a fast-paced, deal-driven environment that, along the way, also gives the Senior Analyst a front-row view of the full lifecycle of a deal — from acquisition through asset management and eventual disposition or refinancing.
Essential Duties and Responsibilities
These include the following but are not limited to the job specifications contained herein; additional duties may be assigned as business needs evolve.
Asset Management & Portfolio Performance
- Provide asset- and portfolio-level financial analysis and market research for a portfolio of single- and multi-tenant commercial assets, including third-party managed and receivership properties.
- Develop working knowledge of property loan documents, partnership agreements, and leases to support day-to-day asset management decisions.
- Support new, renewal, expansion, and contraction lease negotiations, including deal analyses for each.
- Assist with financing, refinancing, and disposition activity across the portfolio, including lender/servicer interface and reserve administration.
- Participate in regular calls to review portfolio and property performance; conduct site visits as needed.
- Prepare monthly and quarterly financial and variance analysis, reporting packages, and related Q&A for the assigned portfolio.
- Manage, track, and organize real estate tax forms and processes across the portfolio.
- Partner with Property Management, Investor Relations, Transactions, and Accounting to ensure alignment across shared assets and deals.
Acquisitions & Transactions
- Underwrite prospective acquisitions, dispositions, and structured finance investments, including due diligence, market research, lease abstracting, and tenant interviews.
- Build and maintain detailed Argus models for cash flow forecasting, sell/hold analysis, and deal-level and portfolio-level valuation.
- Support the negotiation and closing of transactions, including buyer/seller Q&A, coordination of third-party reports, and drafting of investment memoranda for the Investment Committee and investors.
- Participate in negotiation of purchase agreements, partnership agreements, leases, and related legal documentation.
- Coordinate and interface directly with brokers, owners, borrowers, lenders, and equity partners throughout the underwriting and closing process.
Qualifications
- Bachelor’s degree required, preferably in real estate, finance, economics, mathematics, or a related field.
- 2–5 years of relevant experience in real estate finance, investments, acquisitions, or asset management; experience with office and/or single- and multi-tenant commercial properties.
- Strong financial modeling and underwriting skills; proficiency in Argus required (certification a plus).
- Advanced proficiency in Excel, with working knowledge of Word and PowerPoint.
- Solid grasp of real estate accounting, financial statements, and variance analysis.
- An investment mindset with strong command of financial calculations such as NPV, DCF, and IRR.
- Superior analytical, problem-solving, and organizational skills, with the ability to manage competing priorities and deadlines.
- Strong written and verbal communication skills; comfortable interfacing with brokers, lenders, partners, and investors.
- A team player able to thrive in an active, transaction-driven environment.
- Minimal travel required for potential acquisitions.
#LI-TB1
WHAT WE OFFER:
- Competitive Salaries & Bonuses
- Medical, Dental & Vision Plans
- 401(k) Plan with Employer Matching Contributions
- Paid Time Off (PTO) & 10+ Paid Holidays
- Paid Parental Leave
- Paid Birthday Off (Multifamily)
- Flexible Spending Accounts
- Company-Paid Long-Term Disability
- Company-Paid Life Insurance
- Short-Term Disability
- Health Savings Account with Employer Contributions
- Pre-Tax Commuter Benefit (Corporate)
- Wellness Perks
- FinFit Financial Wellness Program
- Legal Resources
- Employee Apartment Discount
- Employee Referral Program
- Employee Assistance Program
- Tuition Reimbursement
- Insta Pay Eligible
- Volunteer & Community Service Opportunities
- Employee Recognition & Awards
Benefit eligibility will be determined at the time of hire. Eligibility for certain benefits may vary based on position, location, hours worked, and other qualifying criteria.
Veteran Friendly
This pre-employment application will be given every consideration, but its receipt does not imply that the applicant will be employed. Each question should be answered in a complete and accurate manner as no action can be taken on this application until all questions have been answered.
Harbor Group Management is proudly an Equal Opportunity Employer EOE/M/F/D/V. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability or protected veteran status.
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