
Real Estate Investment Asset Manager
Phaxis, New York, NY, United States
Real Estate Investment Asset Manager (Remote)
Experience
5+ years in commercial real estate, investment analysis, or property management
Track record managing diverse property types (office, retail, industrial)
Experience with institutional investors, REITs, or private equity real estate funds
ARGUS Enterprise proficiency
Understanding of GAAP and real estate accounting principles
Monitor performance of assigned properties against business plans and budgets
Conduct regular property inspections and market assessments
Track key metrics: NOI, occupancy, rent collections, tenant retention, capital expenditures
Develop and approve annual operating budgets and capital plans
Review monthly/quarterly financial reports and variance analyses
Oversee cash flow projections and distribution modeling
Manage debt obligations, refinancing, and covenant compliance
Execute hold/sell analyses and recommend disposition timing
Underwrite potential acquisitions within the portfolio strategy
Collaborate on fund-level investment decisions
Prepare investor reports, quarterly updates, and board presentations
Monitor market conditions, competitive threats, and economic indicators
Travel requirements vary by portfolio geography (typically 25%) otherwise remote
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5+ years in commercial real estate, investment analysis, or property management
Track record managing diverse property types (office, retail, industrial)
Experience with institutional investors, REITs, or private equity real estate funds
ARGUS Enterprise proficiency
Understanding of GAAP and real estate accounting principles
Monitor performance of assigned properties against business plans and budgets
Conduct regular property inspections and market assessments
Track key metrics: NOI, occupancy, rent collections, tenant retention, capital expenditures
Develop and approve annual operating budgets and capital plans
Review monthly/quarterly financial reports and variance analyses
Oversee cash flow projections and distribution modeling
Manage debt obligations, refinancing, and covenant compliance
Execute hold/sell analyses and recommend disposition timing
Underwrite potential acquisitions within the portfolio strategy
Collaborate on fund-level investment decisions
Prepare investor reports, quarterly updates, and board presentations
Monitor market conditions, competitive threats, and economic indicators
Travel requirements vary by portfolio geography (typically 25%) otherwise remote
#J-18808-Ljbffr