Work with Asset Management and Finance & Accounting teams to ensure accuracy and integrity of quantitative and qualitative data used for creating real estate valuations, performance reporting, budgets, and projections.

Analyze financial, operating, and valuation information to evaluate the results of the Company’s real estate investments, funds, joint ventures, and separate accounts.

Manage and maintain databases, spreadsheets, and other information systems to ensure the Company can provide real-time Portfolio Management information to various users.

Review quarterly internal valuations and assumptions and third-party external valuations in conjunction with Asset Management team and external service providers.

Assist with compilation of Annual Business Plans for Company investors by reviewing and analyzing underlying asset plans.

Prepare comprehensive valuation models which detail current positions and forecast the performance of portfolios.

Monitor and track portfolio, diversification, leverage, commitments, and cash flows and measure asset and fund performance return levels.

Conduct real estate investment sensitivity analysis by reviewing cash flow, forecasting, and valuation reports for different portfolios.

Prepare real estate property and portfolio reports and presentations to various audiences.

Provide analysis, commentaries, and recommendations to the Head of Asset Management.

Detail oriented personality with strong sense of ownership for his/her work product.

Ability to organize, analyze, and summarize large volumes of data in order to draw business conclusions.

Demonstrated ability to multi-task, meet deadlines, and work effectively independently with minimal supervision and as part of a team.

Excellent written and oral communication with the ability to effectively present analytical information in a clear and presentable format and respond to questions.

Familiarity with database concepts, analytics, and applications to real estate portfolios.

Familiarity with commercial property valuation methodologies, income and expense statements, including trends and budgets.

Familiarity with real estate investment concepts, including return on investment, return on equity, debt coverage ratio, direct capitalization, discounted cash flow analysis, and mortgage constant.

B.A. degree in Finance, Business, Economics, or Mathematics preferred.

Preferred three to four years of prior business experience in financial modeling for a financial institution, accounting firm, real estate appraisal firm, commercial mortgage banking firm, or real estate firm. Prior experience in financial valuation concepts preferred.

Fluency in and ability to create and maintain Excel models and reports is essential.

Advanced knowledge of Excel, Microsoft Word, and PowerPoint required. Proficiency in ARGUS or database management systems a plus.

Assist the Head of Portfolio Management in various Portfolio Management activities for commingled real estate funds, joint ventures, and separate accounts, including the following:Since 1998, PCCP has been providing commercial real estate debt and equity capital for middle-market real estate projects throughout the United States. PCCP has raised, invested and managed over $19 billion of institutional capital and continues to pursue investment opportunities with proven operators. PCCP originates and manages all of its investments, providing capital for all major real estate product types. PCCP invests across the capital stack, from joint venture equity to senior and mezzanine debt, while seeking to identify the best risk-adjusted returns for our investors. With over $9.0 billion of assets under management, PCCP is an established fiduciary for its global investors, with offices in New York, San Francisco, Atlanta and Los Angeles.