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(Senior) Risk & Portfolio Associate – Portfolio Analytics (m/f) - Allianz Real Estate

CDI
Paris
Salaire : Non spécifié
Télétravail non autorisé
Expérience : > 5 ans

Allianz France
Allianz France

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Le poste

Descriptif du poste

Allianz Real Estate is the captive investment and asset manager for real estate within Allianz Group. We develop and execute tailored investment strategies for our clients, focusing on direct and indirect equity globally and commercial real estate loans in Europe and the U.S.
We aim to provide superior risk-adjusted returns along the buy-manage-sell value chain with a primary focus on Core to Value Add opportunities in the 24/7 gateway cities of the world.
Our global activities are steered out of Munich whilst local operating platforms provide market coverage, transaction sourcing and asset management.
From a direct equity portfolio of €16bn in 2008, our AUM grew to €71bn at the end of September 2020 – positioning us as the world ́s largest real estate investor (IPE Top 100 Real Estate Investor, May 2020)

As (Senior) Risk & Portfolio Associate you will be part of the Risk & Portfolio Management Team (R&P), responsible for the oversight and analysis of Allianz Investors 12bn+ EUR West European Portfolio (France, Benelux, Italy, Iberia). The position is based in Paris, La Defense.

Your Role:
*You will report to the Head of Portfolio and Risk Management for West Europe, based in Paris and will be:

  • Leading portfolio analysis and reporting supporting understanding throughout the organization of the portfolio KPIs, performance and risks that R&P is monitoring.
  • Leading risk analyses (benchmarking, stress testing, etc.) and reporting on existing portfolio & new acquisitions
  • Responsible for a subportfolio of assets, partnering with Asset Management and Finance to support planning activities and optimize portfolio value
  • Providing recommendations to senior management and investors based on portfolio analyses
  • Responsible for leading and executing selected projects, recurring and ad-hoc analyses within the region
  • Involved in R&P and cross functional projects aiming at continuously improving risk/portfolio analyses and processes
  • Communicating and coordinating on a regular basis with fellow R&P team members in other hubs, investments teams, asset management teams, finance teams and senior management.

Profil recherché

Your Skills:

  • Master in Management/Engineering with minimum 5 years of related experience
  • Proven Real Estate experience in Portfolio or Risk Management and/or Asset Management
  • Strong analytical skills, attention to details and sharp understanding of cash flow modeling/Real Estate Valuation/finance acumen
  • High level proficiency Microsoft Office (Excel and PPT), experience of market place Real Estate systems
  • Excellent project management skills, strong verbal and written communication skills
  • Fluent in English and French, Knowledge of additional European languages (Italian, Spanish, German) is a plus
  • Strong organizational skills
  • Strong written and oral communication skills

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