The Amherst Group's companies are comprised of leading real estate investment and advisory firms with a mission to transform the way real estate is owned, financed and managed. Amherst leverages its proprietary data, analytics, technology, and decades of experience to seek solutions for a fragmented, slow-to-evolve real estate ecosystem and to materially improve the experience for residents, buyers, sellers, communities, and investors.
Today Amherst has over 1000 employees and $14.1 billion in assets under management. Over the past decade, Amherst has scaled its platform to become one of the largest operators of single-family assets and has acquired, renovated, and leased more than 46,000 homes across 32 markets in the U.S. The firm delivers customized, stabilized cash-flowing portfolios of assets to its investors, wrapped in all the ongoing services required to manage, own, and finance the asset including property management, portfolio management, and a full capital markets team.
In addition to its single-family rental platform, Amherst’s debt business pursues two distinct credit strategies in mortgage-backed securities and commercial real estate lending. Over its 25-year history, Amherst has developed a deep bench of research and technology talent, and leverages data and analytics at every stage in the asset lifecycle to improve operations and preserve long-term value for our investors and the more than 188,000 residents the firm has served.
Key Responsibilities:
- Assist Senior Portfolio Managers in the US to maintain and improve upon complex portfolio investment and fund-level models.
- Build and maintain portfolio / financial models including cash flow projections, fund-level waterfalls, and IRR calculations, DCF and NPV valuations.
- Responsible for PM Investor Relations Reporting, including preparation of fund operational reports and modifications for our Single-Family Residential Joint Ventures with our strategic investors on a weekly, monthly, and quarterly cadence ensuring timeliness and accuracy.
- Work with the Manager based in US and compile information across functions to evaluate and clarify investors’ ad hoc requests and queries.
- Responsible for monitoring the performance of operational reports and taking corrective action to optimize or improve the reporting process when necessary.
- Provide analysis to drive strategic decision making in areas such as portfolio composition, financing/capital structure and growth/exit opportunities.
- Partner closely with Asset Management, Property Management, and Fund Finance teams to facilitate investment decision making and operational processes.
- Examine and highlight fund and asset-specific issues and opportunities.
- Manage and guide a team of 4-5 Analyst/Associates for Investor Relations reporting, Portfolio management modeling and reporting.
- Drive automation efficiencies/projects for reporting in collaboration with IT teams.
Our Full-Time Employee Benefits Include:
- A competitive compensation package, annual bonus, 401k match.
- Flexible PTO including 7 paid holidays, 1 floating holiday, and 1 volunteer day.
- Employer-paid benefits (medical, dental, vision, health savings account).
- Professional career development and reimbursement.
- Up to 16 weeks paid maternity leave; up to 4 weeks of paid parental leave.
- Backup childcare offered through Bright Horizons.
Amherst is proud to be an Equal Opportunity Employer and committed to creating an inclusive environment for all employees.
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