Department / Role Overview : Associate, Portfolio Management - Merchant Banking. The Amherst Merchant Banking business unit oversees investment management activities for Amherst, including the raising of new debt and equity capital, the formation of new ventures, the strategic acquisition and disposition of homes and the management and operation of Amherst's portfolio investments. The Merchant Banking business unit collaborates closely with the other Amherst business units, including the Development and Operator business units, as part of the fully integrated Amherst platform.
The Amherst Merchant Banking division is seeking to expand its global footprint in Mumbai, India, with a goal of establishing a strong team professional working across multi-disciplinary functional areas in close collaboration with U.S.-based personnel.
Associate, Portfolio Management - Merchant Banking The Role is within the Amherst's Merchant Banking Division in the Portfolio Management ("PM") group. Our Portfolio Management team sits at the center of the action, serving as leaders and collaborators with every function that serves the lifecycle of our investment products. We seek a highly motivated individual to play a key role in the execution of reporting to investors, shareholders and key stakeholders invested in single-family rental (SFR) properties. We communicate with leading institutional investors frequently and articulate our strategy and performance well. We are subject matter experts in many areas of the firm –including venture strategy, asset management, debt optimization, cash management, financial reporting and performance, valuation, and valuation attribution. This high visibility team serves as the internal fiduciary for investors –working across all departments to ensure key messages, analysis, and strategy implementation result in optimal portfolio performance.
The Portfolio Management Team seeks an Investor Reporting Analyst to join its expanding team. The Investor Reporting Analyst will be responsible for generating the operational reports for our Single-family Rental (SFR) portfolios, which are delivered externally to each of our Joint Venture (JV) institutional investors. Each institutional investor jointly owns the portfolio with Amherst and may contain 100's-1,000's of homes in a single portfolio. Operational reporting metrics include, but are not limited to property counts, property status, rental lease amounts, property lifecycle (repair and marketing) and tenant retention. Generating these reports entails refreshing the report exhibits in the Excel-generated template, reconciling results to ensure accuracy and completeness of operational metrics and required reports and maintaining compliance with contractually required investor guidelines. This role will require a deep understanding of the fundamentals of Amherst to further develop analysis, identify and correct data errors, and maintain inventory of investor reports.
Job Description (Role & Responsibilities) – What we offer :
Qualifications :
Amherst's core values :
Working Shift / arrangement : US Shift (1 : 30 PM – 10 : 30 PM - IST), Flexible - Hybrid working model
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Skills Required
Powerpoint, Ms Office Excel, Tableau, Sql
Management Associate • Mumbai, India