Core+ Real Estate Financial Reporting Analyst
3 weeks ago
Company Overview:
Blackstone stands as the largest alternative asset manager globally, dedicated to generating positive economic impact and long-term value for our investors, the entities we invest in, and the communities we serve. Our extensive portfolio, which encompasses a trillion dollars in assets under management, includes various investment vehicles across private equity, real estate, public debt and equity, infrastructure, life sciences, growth equity, opportunistic investments, non-investment grade credit, real assets, and secondary funds on a worldwide scale.
Group Profile: Real Estate
As a premier global entity in real estate investment, Blackstone's real estate division was established in 1991 and currently manages US $336 billion of investor capital. We are the foremost owner of commercial real estate worldwide, with a diverse portfolio that spans logistics, data centers, residential, office, and hospitality sectors. Our opportunistic funds are designed to acquire underperforming, well-situated assets globally, while our Core+ segment focuses on investing in substantially stabilized real estate assets through both institutional strategies and tailored approaches for income-oriented individual investors.
Position Overview:
The organization is seeking to appoint an Analyst to join the Financial Reporting & Operations team, specifically overseeing Blackstone's Core+ real estate funds.
Key Responsibilities:
- Investor Transactions: Collaborate with internal teams and external advisors to facilitate investor subscriptions, redemptions, and distributions, ensuring adequate cash availability as required.
- Debt Management and Reporting: Assist in the internal and external reporting of financial data related to external debt, including bonds and credit facilities, while monitoring debt facilities and forecasting covenants.
- Cash Management: Oversee the Funds' cash and liquidity requirements to enhance working capital management and maximize interest income through effective treasury instruments.
- Financial Statements: Support the preparation of financial statements for relevant funds and manage the project coordination of external audits.
- Valuations: Work closely with the Valuation team to ensure accurate financial information is reflected in the Funds' NAV.
- Process Automation: Identify and implement operational enhancements and technology initiatives to improve existing processes.
- Oversight and Review: Monitor various activities, including cash movements and distribution processes at the deal level.
- Management Development: Supervise activities performed by associated teams and enhance collaboration with the Centre of Excellence team.
Qualifications:
The ideal candidate will possess a degree and be ACCA/ACA qualified (or hold an equivalent accounting qualification). Prior experience in the real estate or asset management sectors is advantageous. Proficiency in Excel, strong relationship-building skills, and a proactive mindset are essential. The candidate should demonstrate the ability to manage multiple tasks effectively, exhibit strong time management skills, and pay close attention to detail.
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, age, disability, sexual orientation, national origin, or any other category protected by law.
The responsibilities outlined here are not exhaustive, and additional duties may be assigned as needed.
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