Debt Portfolio Analyst2 Openings: Associate-Level and Analyst-LevelLocation: Century City, CA (onsite) Compensation: $90K-$125K + 20% annual bonusCompany Summary: We are a real estate investment management firm specializing in debt and equity strategies across diverse portfolios. Our approach integrates data-driven decision-making, collaborative team structures, and continuous improvement through AI and technology. With a focus on long-term value creation, we maintain a culture that rewards innovation, integrity, and excellence.Position Summary: We are hiring for two roles on the Debt Portfolio Management team – one junior-level (Analyst) and one mid-level (Associate).
These individuals will work closely with cross-functional groups to analyze, manage, and present portfolio and fund performance data. This is an opportunity to join a fast-paced team making high-level investment and operational decisions backed by strong data analytics.Key Responsibilities:Analyze financial, operating, and valuation data for debt investments and funds.Maintain and update spreadsheets, databases, and systems for real-time reporting.Build and manage Excel models and portfolio dashboards.Support capital needs, cash flow tracking, and diversification analysis.Partner with IR and asset management to deliver insights to investors.Create valuation models and sensitivity analyses.Review internal and third-party appraisals.Assist in ESG-related data tracking and reporting.Continuously adapt to new technologies and process changes.Qualifications:Bachelor's in Finance, Economics, Math, or Business.Analyst: strong internships or 0–1 years' experience.Associate: 2+ years' experience (internships may count).Advanced Excel proficiency; ability to build complex models.Experience with SQL and ARGUS strongly preferred.Exposure to real estate finance a plus, but not required.Strong written and verbal communication skills.Demonstrated interest in business intelligence, systems, and process improvement.