TIAA Analyst, Debt Portfolio Management, Nuveen Real Estate in CHARLOTTE, North Carolina
Nuveen, the investment manager of TIAA, offers a comprehensive range of outcome-focused investment solutions designed to secure the long-term financial goals of institutional and individual investors. Its affiliates offer deep expertise across a comprehensive range of traditional and alternative investments through a wide array of vehicles and customized strategies.
Nuveen Real Estate, an operating division of Nuveen, the asset management arm of TIAA, is one of the top five largest real estate investment managers in the world with over $126 billion in AUM. Managing a suite of over 80 funds and mandates spanning both debt and equity across diverse geographies, sectors, investment styles and vehicle types, we provide access to every aspect of real estate investing. With offices in 26 cities throughout the US, Europe and Asia-Pacific, over 500 professionals and over 80 years of investing experience, the platform offers impressive local expertise coupled with a sophisticated global perspective.
Our investment, asset management and corporate strategies grow from a deep understanding of the structural trends that we believe will shape the future of real estate and responsible investing beyond market cycles. This ‘Tomorrow’s World’ approach sits at the core of our investment process and business operations, informing our long-term view of real estate investments for the enduring benefit of both clients and society.
Nuveen Real Estate is seeking to add an Analyst to support the Debt Portfolio Management team that manages third party mandates. The team manages a c. $2+bn mortgage portfolio over six separate mandates which include a recently launched mandate that will deploy c. $300mm annually. The areas of support/focus include: portfolio management, transactions oversight, surveillance, and asset management. Activities, among others, to include investment and strategic decision modeling, portfolio reporting, loan surveillance and financial forecasting.The position is located in Charlotte.
Assist in preparation and review of monthly and quarterly reporting matters including the tracking of investments and portfolio management reporting for internal and external purposes
Monitor borrower/asset/market level performance of existing commercial mortgage investments and generate internal investment summaries and reports with ability to present results. Provide assistance to asset managers with borrower requests and necessary client approval.
Interact andcollaborate with clientsand internal business partners, including: Accounting, Valuation, Appraisal, Real Estate Equity, Risk Management, Research, and Law.Respond in a timely manner to client requests.
Provide ongoing analysis and research, including creating and updating financial models to evaluate and forecast portfolio investment performance.
Support management decision making related to a variety of business activities, including assisting in the development of annual business plans, working on strategic projects, loan originations and modifications and the general provisioning of research and analytical findings.
Bachelor’s degree in Finance or Real Estate (other majors considered depending upon experience)
Minimum of one year of related experience.
2-3 years of commercial real estate experience
Works well in a team dynamic/approach
Well organized and able to balance multiple priorities while delivering quality product.
Strong analytical, communication and problem solving skills.
Strong Excel and PowerPoint skills.
Willing to travel as needed to assist in property related and investment related analysis and decisions.
Familiarity with the Korean language
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- Requisition ID: 1719836
Field: Investment Management
Post Date: Jun 12, 2019
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