Whitestone Reit Jobs in Usa
105 positions found
Whitestone REIT—a dynamic, growth-focused real estate investment trust—is seeking a highly experienced and motivated Executive Assistant to support our President/Chief Operating Officer. This is a high-visibility role central to enhancing organizational effectiveness and driving strategic initiatives across departments and regional offices.
We’re looking for a polished professional who is proactive, detail-oriented, and thrives in a fast-paced environment. The ideal candidate will be a trusted partner, capable of balancing complex administrative responsibilities with strategic support. This is a unique opportunity to contribute to both the operational success and personal efficiency of a key executive leader.
Key Responsibilities
Executive & Administrative Support
- Manage complex calendars and schedule meetings, calls, and events across time zones.
- Prepare detailed meeting agendas, coordinate materials, and follow through on action items.
- Serve as a coordinator between the President/COO and internal/external stakeholders.
- Monitor, draft, and manage emails and correspondence with accuracy and professionalism.
- Maintain strict confidentiality while managing sensitive corporate and personal information.
Travel & Logistics Management
- Coordinate complex domestic and international travel: flights, accommodations, car rentals, and itineraries.
- Track and optimize travel rewards programs and corporate travel policies.
- Provide real-time travel support and logistics troubleshooting.
Project Coordination & Operations
- Facilitate execution of strategic corporate initiatives and interdepartmental projects.
- Track and maintain project milestones and updates using tools such as Microsoft Office.
- Assist in event planning, including off-sites, conferences, and corporate functions.
Finance & Budget Support
- Reconcile corporate credit card expense reports and code invoices for A/P submission.
- Assist with monitoring departmental budgets and resolving financial discrepancies in collaboration with finance as needed.
- Coordinate with vendors and suppliers for service agreements and procurement.
Technology & Communication
- Utilize Microsoft Office Suite and other platforms (e.g. Teams, Outlook) for efficient workflow.
- Stay current with project developments and suggest tools and technology to optimize team productivity.
Personal Assistance (as needed)
- Handle personal errands, appointment coordination, and miscellaneous tasks to support the President & COO productivity.
- Manage mail, packages, and running errands as needed.
Qualifications
- Bachelor’s degree required
- 5+ years of experience supporting senior executives in a fast-paced, growth-oriented company.
- Exceptional communication skills—both written and verbal.
- High proficiency in Microsoft Office (Outlook, Excel, PowerPoint, Word)
- Excellent organizational and time management skills with the ability to juggle multiple responsibilities and adapt to shifting priorities.
- Proven discretion in handling confidential information.
- A proactive, resourceful, and solution-oriented mindset with meticulous attention to detail.
- Availability to work on-site Monday–Friday, with flexibility for occasional after-hours and travel requirements.
Whitestone REIT is proud to foster a culture of innovation, collaboration, and integrity. If you're ready to contribute to a growing organization where your skills make a tangible impact, we invite you to apply and grow with us.
About Whitestone | Retail-Focused Real Estate Investment Trust
Tax Senior (Public REIT) - American Healthcare REIT, Inc.
Irvine, CA
Full-Time
Job Description
Responsibilities
We are seeking a Tax Senior to join the tax department of a publicly traded U.S. REIT. This role will support all aspects of income tax compliance and financial reporting, including REIT qualification, ASC 740 provision, and multi-state and international tax matters. The position will work closely with the Tax Director and SVP – Tax and will interact regularly with external advisors, auditors, and internal departments. Principal responsibilities include, but are not limited to:
Compliance
- Coordinate preparation and review of federal, state, and local income tax returns with external tax advisors.
- Assist with compliance related to UPREIT structure, including partnership and corporate filings.
- Assist with partnership tax matters, including maintenance of tax capital accounts and 704(b) books.
- Assist with REIT qualification compliance, including:
- Quarterly and annual income and asset testing
- Preparation, review, and maintenance of E&P
- Shareholder reporting (including Forms 1099-DIV).
- Assist with preparation and review of:
- Estimated tax payments
- Extensions
- State apportionment schedules
- Withholding and composite filings
ASC 740 / Tax Provision
- Prepare quarterly and annual income tax provision schedules, including:
- Current and deferred tax calculations
- Return-to-provision true-ups
- Effective tax rate analysis
- Valuation allowance considerations
- Uncertain tax position documentation
- Assist with preparation of tax-related financial statement disclosures and footnotes.
- Support provision documentation and workpapers for external audit review.
Operations & Process
- Prepare and analyze tax data from general ledger and financial systems.
- Maintain tax fixed asset schedules and depreciation support.
- Maintain tax calendar and compliance timelines.
- Assist with responses to federal, state, and local tax notices.
- Support documentation and internal controls related to the tax function (including audit support).
- Support ongoing tax planning initiatives led by tax leadership.
- Partner with accounting, financial reporting, legal, investor relations, and property accounting teams to support tax reporting and compliance.
- Coordinate closely with external accounting firms and advisors.
Requirements
- Bachelor’s degree from an accredited college or university, preferably in accounting or finance.
- 3-6 years of experience in BIG 4 or national accounting firm and/or public company tax department in real estate industry.
- Solid experience in corporate and partnership income tax return preparation in a multi-state environment.
- Experience with REIT and real estate are strongly preferred.
- CPA license is strongly preferred.
- Experience with ASC 740.
- Excellent Microsoft Office computer skills, including Excel & Word. Experience with E-forms is a plus.
- Experience with tax provision software (OneSource, Corptax etc.) a plus.
- Experience with tax return preparation software (GoSystem etc.) required.
- Excellent written and verbal communications skills
- Strong work ethic, team player with strong attention to details and ability to work independently and take ownership of assigned workstreams
- Excellent critical thinking, problem solving, mathematical and sound judgement skills
- Strong accounting, multitasking and organizational skills
Bond Street Real Estate Investment Trust is seeking a highly driven and detail-oriented Analyst to join our team. Bond Street REIT is a private, perpetual life NAV REIT exclusively focused on convenience retail assets across Southeast and Midwest markets. The firm is vertically integrated, with in-house capabilities across asset management, property management and acquisitions. With access to up to $900 million of capital through a combination of debt and committed equity, Bond Street is well-positioned to support continued growth and execute on its acquisition strategy at scale. The platform is also actively consolidating legacy assets into the REIT through 721 exchange transactions, further expanding and institutionalizing the portfolio. More information about the firm is available at .
Location:
850 Morrison Drive, Suite 500, Charleston, SC 29403
This is a full-time, in-office position with required availability from 8:30am to 5:30pm and flexibility for additional hours based on business needs.
Key Responsibilities:
- Build and maintain complex Excel-based financial models, including mark-to-market analyses and portfolio-level return modeling
- Develop and maintain corporate-level financial models to consolidate asset performance, aggregate cash flows, and support capital stack evaluations
- Conduct market and asset-level research to support acquisition due diligence and a growing cadence
- Aggregate and analyze financial and operational data to assess portfolio performance and risk
- Prepare and manage consolidated debt schedules and debt maturity profiles across assets and legal entities
- Leverage AppFolio for data extraction, property-level reporting and portfolio analytics
- Contribute to the preparation of internal reports, dashboards, and investor materials
- Collaborate with leadership on strategic initiatives and ad hoc analyses
Qualifications:
- Bachelor’s degree in Finance, Real Estate, Economics or related field
- 0-2 years of relevant experience in finance or CRE preferred
- Advanced Excel modeling skills
- Understanding of REIT structures preferred
Benefits:
- Competitive base salary based on experience
- Annual performance bonus
- Health insurance and 401k
- Paid holidays and PTO
- Weekly team lunch
- Direct exposure to senior leadership and investment committee
- Clear path to advancement with growing platform
- Flexible Fridays
This position reports directly to our Head of Portfolio Strategy and Chief Financial Officer.
Contact:
Maria Castellano |
Luke Fox |
The Tax Manager will lead income tax planning, compliance, and risk management across corporate, partnership, and REIT structures, ensuring the company’s tax position is optimized, compliant, and aligned with business objectives.
This role serves as a key internal tax authority, partnering closely with crossfunctional teams and external advisors on complex tax matters, audits, and strategic transactions.
Key Responsibilities Manage external advisors in the preparation, review, and timely filing of federal, state, and local corporate, partnership, and REIT income tax, franchise, and information returns Develop and implement tax planning strategies to minimize overall tax exposure and optimize tax function costs Oversee REIT qualification matters, including REIT testing and ongoing compliance Support tax due diligence for acquisitions and assist with tax aspects of disposition transactions Manage indirect tax filings and payments, including B&O tax, gross receipts tax, and business licenses Support taxable REIT subsidiary (TRS) activities, including quarterly tax provisions, intercompany transactions, income and service allocations, tax credit tracking, and annual overhead surveys Assist with income tax audits and respond to tax notices and inquiries Qualifications Bachelor’s degree 5+ years of progressive experience in tax planning and compliance involving corporate, partnership, and REIT structures CPA certification preferred Big 4 public accounting experience preferred Strong technical knowledge of partnership taxation required; solid understanding of corporate and California tax, REIT qualification, TRS transfer pricing, and U.S.
GAAP income tax reporting
Tax Analyst
Job ID
2025-3107
Job Locations
US-MA-Newton
Department
Tax
Overview
Join our tax team and play a key role in managing tax matters for one or more RMR-managed companies. Reporting to the Senior Tax Manager, you'll prepare and/or review tax compliance and calculations for Real Estate Investment Trusts (REITs), partnerships, and corporate entities. This position requires strong collaboration across accounting, asset management, and other internal teams. You'll contribute to strategic projects and transactional matters that drive organizational success. At RMR, you'll be part of a team that values expertise, innovation, and collaboration. We offer opportunities to work on challenging projects, develop your technical skills, and make an impact in a growing organization.
Responsibilities
- Help manage co-source compliance arrangements including but not limited to review of various federal, state, and local and indirect tax returns and estimated tax payments across a wide spectrum of entity types.
- Work with advisors to resolve notices and compliance issues efficiently
- Prepare and/or review quarterly and annual tax calculations, including REIT compliance testing and provision for income taxes.
- Prepare and/or review tax modeling and analysis related to REIT qualifications and transactional planning.
- Collaborate with internal teams and external advisors on audits and special projects that support organizational goals.
- Assist with process improvements and automation initiatives within the tax function.
- Participate in transaction-oriented projects, including drafting technical memoranda on tax issues.
Qualifications
- Bachelor's degree in Accounting.
- CPA or equivalent experience.
- Experience in tax department of national public accounting firm is preferred but not required.
- Strong organizational skills and an ability to manage multiple deadlines.
- Strong accounting and analytical skills.
- Ability to work in a fast-paced, collaborative, and results driven environment and interact with senior management.
- Advanced Excel skills required.
#LI-DNI
Total Rewards
The RMR Group offers an extensive total rewards package to ensure that your benefits align with your needs. Employees who work at least 21 hours per week are eligible to participate in The RMR Group's benefits plans, including:
- Health Insurance
- Dental Insurance
- Vision Insurance
- Life & Disability Insurance
- Health Savings Account (HSA) & Flexible Spending Plans (FSA)
- 401(k) Plan with Employer Match
- Holidays, Vacation & Sick Time
- Parental Leave
- Tuition Assistance
- Matching Gift Program
- Wide Array of Voluntary, Employee-Paid Benefits to choose from including Critical Illness & Accident Insurance, Identity Theft Protection & Pet Insurance
The estimated base compensation range for this position is $85,000 to $105,000 per year. RMR considers several components including an individual's skills, qualifications, experience, internal equity, and market data.
Company Overview
The RMR Group (Nasdaq: RMR) is a leading U.S. alternative asset management company, unique for its focus on commercial real estate (CRE) and related businesses. RMR's vertical integration is strengthened by nearly 900 real estate professionals in more than 30 offices nationwide who manage approximately $40 billion in assets under management and leverage more than 35 years of institutional experience in buying, selling, financing and operating CRE. RMR benefits from a scalable platform, a deep and experienced management team and a diversity of real estate strategies across its clients. RMR has been recognized by The Boston Globe as a "Top Place to Work", by the Environmental Protection Agency (EPA) as an "ENERGY STAR Partner of the Year" and ranked by the Building Owners and Managers Association (BOMA) as having one of the highest number of BOMA 360 designated properties in its portfolio. RMR is headquartered in Newton, MA and was founded in 1986.
RMR's mission is to create long term value for our clients by managing their investments and assets "like we own it" - an approach that consistently and repeatedly generates opportunities for all our employees, investors and stakeholders. We are guided by six core values:
- Integrity at Our Core.
- Perform Passionately and Effectively.
- Inspired Thinking.
- Like We Own It.
- Power of We.
- Mutual Respect.
Visit our website to learn more about what makes The RMR Group a rewarding place to build a career.
Follow RMR on LinkedIn and Instagram @thermrgroup.
The RMR Group is an equal opportunity employer. Qualified applications will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability or protected veteran status. For our EEO Policy Statement, please click here. If you'd like more information on your EEO rights under the law, please click here.
In this role, theVP of Net Lease Portfolio will be responsible for building and growing this net lease business segment and have overall responsibility for all operations, including ownership of the segments P&L.
Responsibilities TheVP of Net Lease Portfoliowill: Develop and implement a comprehensive business strategy to identify growth opportunities and maximize the return on invested capital Review and optimize the existing portfolio by deciding which assets should be kept, divested or monetized Secure new tenants by leasing out the remaining vacant space in the Net Lease portfolio Oversee all operational aspects of the net lease real estate business, including property acquisition, development, and leasing Provide mentorship, guidance, and support to foster a culture of collaboration, innovation, and excellence Develop and manage the company's financial plans, budgets, and forecasts Monitor financial performance, analyze key metrics, and implement strategies to optimize profitability Identify and mitigate potential risks and challenges associated with the net lease portfolio Stay abreast of industry trends, market conditions, and competitive landscape Conduct market research, analyze data, and identify emerging opportunities Perform other duties, as needed Qualifications: 4+ years of proven experience as a CEO, President, and/or Senior Executive in the Real Estate industry Bachelor's Degree In-depth knowledge of Real Estate Market trends, Property Development, and Investment Strategies.
Strong background in Commercial Real Estate and Lease Administration Sufficient financial acumen and proficiency in Budgeting, Forecasting, and Financial Analysis Microsoft Excel proficient Great interpersonal skills Excellent communication skills (written and verbal) Strong attention to detail Highly organized Desired Skills: Bachelor's Degree in Business, Finance, Real Estate, and/or a related field Experience leading and operating a REIT
About the Position:
Our client, a highly-regarded Chicago law firm, has an active need for a real estate attorney with a focus on leasing matters to join its thriving practice as a mid-level associate. This practice is Chambers-ranked and handles a variety of real estate matters across the country, including acquisitions and dispositions, joint venture transactions, real estate development, and commercial leasing.
Highlights:
· Chambers-ranked real estate practice group
· Firm ranked as a top midsize firm in Chicago
· Collaborative and entrepreneurial atmosphere
· Work on substantive matters for a sophisticated national client base
Responsibilities:
· Represent clients with retail leasing transactions
· Draft and negotiate contracts for acquisitions, dispositions, site assemblages, leases, and all related financing and ancillary documentation
· Handle real estate transactions involving joint ventures, development projects, acquisitions, dispositions, and financings
· Manage transactions with limited supervision
Required Qualifications:
· 4-6 years of real estate law experience, including handling all aspects of commercial leasing transactions (both landlord and tenant side)
· Experience representing managers, REITs and other institutional owners, in the office, industrial, and retail sectors
· Substantial practice focus in sophisticated office leasing preferred
· Strong academic credentials
Location:
Chicago, IL (Hybrid)
Compensation:
The anticipated base salary range for this position is $250,000 - $300,000.
About Us:
McCormack Schreiber Legal Search is Chicago's leading legal search firm. We leverage more than 30 years of experience in the Chicago legal market to assist attorneys and paralegals seeking new opportunities and employers searching for top legal talent.
LHH is looking for a Commercial Real Estate Transactions Paralegal (Attorney Considered as well)
Location: Chicago preferred | Seattle considered | Hybrid (2–3 days in office)
A vertically integrated real estate private equity firm focused on open-air retail assets is seeking a Commercial Real Estate Transactions Paralegal to partner closely with the General Counsel, Legal team, and Transactions team. Licensed attorneys with strong CRE retail experience are encouraged to apply; senior paralegals with 5+ years of relevant experience will also be considered.
Chicago-based candidates are strongly preferred due to the firm's retail concentration, though Seattle candidates may be considered. Hybrid work (2–3 days in office) is preferred to support collaboration and relationship-building; remote flexibility may be available for the right candidate.
About the Role
This is a high-impact position responsible for managing the full lifecycle of commercial real estate transactions—from structuring and documentation through due diligence, closing, and post-closing matters. The ideal candidate brings hands-on retail CRE experience and thrives in a fast-paced, deal-driven environment.
Key Responsibilities
- Draft, review, and revise purchase and sale agreements, deeds, closing statements, and related commercial real estate documents
- Manage due diligence, including title and survey review, zoning and environmental reports, and compliance with contractual requirements
- Coordinate and organize closings, including document execution and fund transfers
- Serve as liaison among legal team, lenders, title companies, external counsel, and internal stakeholders
- Prepare and maintain closing binders and organized transaction files
- Track and manage post-closing obligations, recordings, and follow-up items
- Provide regular status updates to legal and transaction teams
Qualifications
- Licensed attorney preferred; senior paralegal with 5+ years of commercial real estate transactional experience strongly considered
- Experience in retail CRE required
- Law firm background valued for its rigor; candidates from REITs or commercial real estate companies also welcome
- Demonstrated ability to manage multiple complex transactions simultaneously
- Strong technical proficiency with transaction management systems and advanced document preparation
- Excellent communication skills, professionalism, and attention to detail
- Ability to work independently while collaborating effectively across teams
Compensation & Benefits
- Base salary: $100,000–$150,000 (for paralegal level; compensation will align with experience and credentials)
- Eligible for discretionary bonus
- Hybrid schedule (2–3 days in office preferred)
- Generous PTO
- Medical, dental, and vision insurance
- Company-paid life and disability insurance
- Paid parental leave
- 401(k) with company match
- 11 paid holidays
Equal Opportunity Employer/Veterans/Disabled
To read our Candidate Privacy Information Statement, which explains how we will use your information, please navigate to
The Company will consider qualified applicants with arrest and conviction records in accordance with federal, state, and local laws and/or security clearance requirements, including, as applicable:
- The California Fair Chance Act
- Los Angeles City Fair Chance Ordinance
- Los Angeles County Fair Chance Ordinance for Employers
- San Francisco Fair Chance Ordinance
Join a Leading Real Estate Law Firm in NYC
Belkin · Burden · Goldman, LLP (BBG) is a top-tier real estate law firm with approximately 60 attorneys dedicated exclusively to real estate law. Since 1989, BBG has been the trusted legal partner for owners, developers, lenders, REITs, landlords, property managers, and cooperative and condominium boards across New York City. Our firm is known for its deep bench of legal talent, strategic litigation capabilities, and unwavering commitment to client success.
We are currently seeking a Condominium / Cooperative Attorney (Governance Focus) with approximately 8+ years of experience advising sophisticated condominium and cooperative boards on governance, operations, and day‑to‑day legal matters. The ideal candidate is currently managing a substantial portfolio of boards independently and is comfortable serving as primary outside counsel to board leadership and managing agents.
This role is advisory‑focused and client‑facing, requiring strong judgment, deep knowledge of New York condominium and cooperative law, and the ability to manage multiple boards simultaneously.
Candidates should also have an interest in developing long-term client relationships and participating in marketing and business development initiatives.
What You’ll Do
- Serve as primary legal counsel to condominium and cooperative boards on governance, compliance, and operational matters.
- Advise boards on bylaws, proprietary leases, declarations, house rules, board procedures, elections, and fiduciary obligations.
- Attend and advise at board and annual meetings.
- Counsel boards on day‑to‑day issues, including disputes, risk management, and policy implementation.
- Coordinate with managing agents, accountants, engineers, and other professionals.
- Draft and review governance documents, resolutions, amendments, and related materials.
- Oversee and manage board portfolios independently with minimal supervision.
- Participate in client development and Firm visibility efforts, as appropriate for senior attorneys.
- Adhere to all Firm policies and procedures.
- Perform other duties as assigned.
What We’re Looking For
- J.D. from an accredited U.S. law school.
- Active New York State Bar license and in good standing.
- Approximately 8+ years of experience advising condominium and cooperative boards, with a strong governance focus.
- Demonstrated ability to manage a high volume of boards independently.
- Deep knowledge of New York cooperative and condominium law.
- Strong judgment, practical problem‑solving skills, and board‑level client management experience.
- Excellent written, oral, and interpersonal communication skills.
- Ability to manage competing priorities in a fast‑paced environment.
- Portable book of business is a plus, but not required.
- Collaborative, professional, and service‑oriented mindset.
- Strong organizational skills and attention to detail.
Why BBG?
At BBG, we believe in empowering our attorneys with the tools, flexibility, and support they need to thrive. We offer a competitive compensation package and a culture that values professional growth, work-life balance, and long-term career development.
Our benefits include:
- Hybrid Work Schedule: Work remotely 2 days per week, plus 2 additional remote weeks annually.
- Summer Fridays
- Pre-Tax Commuter Benefits
- Comprehensive Medical Insurance with Firm Participation
- 401(k) Plan with 10% Firm Match
- CLE Offerings and Professional Development Support
- Collaborative, Collegial Culture
*Benefits are subject to change based on firm needs.
Compensation and title will be dependent on several factors including but not limited to years of experience involving these roles and responsibilities, portable book of business, years of experience within the industry, education, etc.
The above is intended to describe the general content of and requirements for the performance of this job. It is not to be construed as an exhaustive statement of essential functions, responsibilities, or requirements. We are an Equal Opportunity Employer.
Purpose:
The Associate, Investor Relations and Strategy will work with the Investor Relations team to provide effective and timely support to the Company’s management team, internal team members and investors. This position reports to the Vice President of Investor Relations
Principal Job Duties:
- Coordinate and develop materials for industry and analyst conferences as well as in-house meetings, including the production of Company presentations utilizing PowerPoint and Excel
- Draft and publish press releases (Business Wire) and internal communications
- Complete ad-hoc data and research projects related to company strategy for senior management
- Assist with the design and content creation for the Annual Report.
- Aggregate, summarize and distribute analyst research, estimates and peer performance metrics to senior management
- Create investor profile reports and track detailed analyst and investor meeting information in the IR database
- Monitor, summarize and distribute media articles featuring the company and sector to senior management
- Assist with data tracking, analysis and reporting related to Corporate Responsibility initiatives
- Coordinate Corporate Responsibility projects across functional areas (investor relations, operations, accounting, legal and people operations)
- Assist with the creation and publication of the Company’s annual Corporate Responsibility report
- Assist with IR website content development
- Other responsibilities as assigned
Experience and Qualifications:
- Bachelor’s degree, or equivalent work experience, in business, finance, communications or other general business field
- 3-7 years of experience in investor relations, investment banking or equity research
- Strong written and verbal communication skills
- Strong attention to detail
- Proficient in Microsoft Office Suite (strong PowerPoint and Excel skills are highly valued)
- Experience using S&P GMI platform, FactSet, CapIQ, PowerBI
- Experience with the Business Wire platform
- Corporate Responsibility experience (nice to have, but not required):
- Measurabl, EnergyStar and Conservice platforms
- Familiarity with GRESB, CDP, and local state and municipality energy benchmark reporting
- Knowledge of Corporate Responsibility / ESG initiatives in the REIT space
Benefits
- Medical/vision/dental for employee only plans with up to $1,200 funding towards HSA
- 401(K) with employer match
- Employee Assistance Program
- A positive work culture of high integrity team members
- Opportunities for career development and training
- A healthy work life balance including quarterly wellness days
Compensation: $80,000 - $95,000
NSA OP, LP is an equal opportunity employer. Employment and promotional decisions are made without regard to race, color, religion, gender, sexual orientation, gender identity, national origin, age, disability, genetic information or status as a covered veteran or any other basis of discrimination prohibited by applicable local, state, or federal law. No question in our application process is used for the process of limiting or excluding any applicant's consideration for employment on such grounds.
The above statements are intended to describe the general nature and level of work for the position. They are not to be construed as an exhaustive list of all the responsibilities, duties, and skills required. All personnel may be required to perform duties outside of their normal responsibilities from time to time, as needed. All job descriptions are subject to change. Job functions and/or responsibilities can be amended at any time at the management’s discretion.
Visa sponsorship is not currently available. Only permanent residents and US citizens will be considered.
Who We Are
Our purpose at CloudHQ is to provide flexible, efficient, and resilient data center solutions to businesses of all sizes. Our growing organization was founded by the pioneer of data center REITs. CloudHQ has state-of-the-art data center sites located in two Northern Virginia locations, as well as London, Frankfurt, Paris, Milan, and Sao Paulo, and we anticipate exponential growth over the next several years both in the US and abroad.
What The Role Entails
We are seeking an authoritative and highly technical Senior Manager to lead the design, coordination, and delivery of telecommunications infrastructure across our global hyperscale data center portfolio. Focusing primarily on the Americas (AMERs) and Latin America (LATAM) with global oversight, this role transitions beyond individual engineering to full portfolio and personnel management. The ideal candidate will direct regional engineering staff, govern vendor relationships, enforce strict project execution sequencing, and ensure world-class delivery of our telecom strategy.
What You Will Get To Do
Team Leadership
· Directly manage, develop, and allocate resources for regional telecom engineering and development staff.
· Enforce strict project sequencing, ensuring internal scope and lease alignment is locked prior to external contractor pricing or legal counsel engagement.
· Manage departmental OpEx/CapEx budgets and oversee the external vendor bidding, negotiation, and award process.
· Serve as the primary technical authority and escalation point between CloudHQ, external design partners, and Tier 1 carriers.
· Mentor and provide technical guidance to junior engineers and regional team members, ensuring strict adherence to corporate protocols.
Technical Architecture & Design
· Oversee and approve all telecommunications design packages across AMER, LATAM, EMEA, and APAC.
· Architect OSP, ISP, ICN, and interconnect strategies at both campus and metro scales.
· Govern diverse fiber routing strategies and carrier-neutral MMR design standards.
· Direct high-density structured cabling architecture and long-term scalability planning.
· Coordinate Layer 2 and Layer 3 architecture, IP addressing schemes, and VLAN segmentation with network engineering teams.
· Evaluate designs against N, N+1, 2N, and 2N+1 redundancy models and fault-tolerant principles.
· Ensure cross-regional compliance with TIA-942, BICSI, IEEE, and applicable local codes and standards.
Project Execution & Delivery
· Manage and track multiple hyperscale projects simultaneously, holding internal teams and external vendors accountable to schedules, budgets, and deliverables.
· Identify risks, gaps, and design conflicts early, actively driving effective technical and commercial solutions.
· Develop, maintain, and govern telecom design standards, specifications, and best practices across the global portfolio.
· Review, coordinate, and formally approve telecom drawing markups and design packages (utilizing Bluebeam, Visio, and CAD tools).
· Lead telecom infrastructure audits and long-term capacity planning initiatives.
· Coordinate seamlessly with cross-functional executive teams including IT, network engineering, construction, and facilities.
Please Note: This specific opportunity requires US citizenship.
What You Bring To The Role
· A Bachelor’s degree in Telecommunications, Electrical Engineering, or a related field (or equivalent experience).
· A minimum of ten (10) years of progressive experience in telecommunications or network infrastructure engineering, including direct personnel and team management experience.
· 5+ years of mission-critical or hyperscale data center experience.
· Demonstrated experience leading multi-region or global telecom deployments and managing distributed regional staff.
· Executive presence with the ability to lead technical meetings, negotiate with external design partners, and enforce strict project governance.
· Highly organized with strong project management, documentation, and budget tracking skills.
· Strong proficiency in engineering review software (Bluebeam, Microsoft Visio, CAD).
· Ability to manage multiple priorities in a fast-paced, global environment.
Our Ideal Candidate Will Also Possess
· Experience working on international projects across the US, LATAM, EMEA, and APAC.
· Deep familiarity with data center telecom infrastructure, structured cabling systems, fiber routing, and carrier interconnection strategies.
· Strong knowledge of relevant industry standards including TIA-942, BICSI, IEEE, and regional codes.
· Professional certifications such as BICSI RCDD, PMP (Project Management Professional), and CCNP are strongly preferred.
What We Offer
CloudHQ’s people and culture are the most enriching aspects that make us a great place to work. We are strengthened by industry experts who bring extensive knowledge, skill, and experience; leaders who bring vision, innovation and commitment to our people; and an expanding team of individuals who believe in that vision, and bring their best to support their customers and team.
Our employees enjoy competitive compensation and rewarding incentives, comprehensive benefits (medical, dental, vision, life insurance, disability), 401(k) with match, 12 paid holidays, generous PTO, development opportunities, and the ability to closely impact and contribute to the growth of an exceptional organization.
Equal Employment Opportunity
CloudHQ is an equal-opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, pregnancy, age, national origin, disability, sexual orientation, gender identity or expression, marital status, genetic information, protected veteran status, or other legally protected status.
Job Title: Investment Analyst
Location: Charleston, South Carolina Metropolitan Area (On-site)
Company: Monomoy CRE
Job Type: Full-Time, Permanent
About Us:
MCRE and MCS (collectively “Monomoy”) manage a private REIT with a diversified portfolio of net-leased industrial real estate assets, while also offering expertise in construction and development projects to our industrial tenant base. As we continue to expand our portfolio, we are seeking an experienced and motivated Real Estate Investment Analyst to focus on the analysis of both our existing properties and potential acquisitions, as well as development projects.This position will be in Charleston, SC, although we currently manage approximately 140 properties across 30+ states. Join us in our mission to be the nationwide preferred partner for companies in the industrial outdoor storage industry!
This is an exciting opportunity to join an innovative, fast-growing, dynamic management team as a Real Estate Investment Analyst within the Acquisitions and Portfolio Management Department. As our sourcing platform continues to scale, we are expanding our internal analytical and underwriting team to support a growing pipeline of acquisition and development opportunities. We are seeking an Investment Analyst to play a critical role in underwriting, valuation, and transaction support for IOS investments nationwide. This individual must demonstrate superior organizational skills, communication, and client relation skills, along with 2 to 4 years of experience in real estate investment analysis.
Role Overview:
This Investment Analyst position is a transaction support and underwriting-focused role, designed to partner closely with senior acquisitions professionals and sourcing team members. The Analyst will be responsible for performing detailed financial analysis, valuation work, and market research on opportunities generated by the sourcing team, helping to drive informed investment decisions.
Essential Responsibilities:
- Assist in underwriting acquisition and development opportunities generated by the sourcing team, including building and maintaining detailed Excel-based financial models.
- Perform valuation and comp analysis, including lease comps, sales comps, land values, and replacement cost assessments, with a particular focus on IOS-specific pricing dynamics.
- Conduct market research for lease and sale comparables to support investment evaluations and ongoing portfolio assessments.
- Analyze tenant financials, lease structures, operating assumptions, and capital expenditures to support investment recommendations.
- Support preparation of investment committee materials, including underwriting summaries, valuation narratives, and risk assessments.
- Assist with due diligence execution by summarizing lease terms and zoning documentation and supporting the team in identifying relevant risks and considerations.
- Maintain internal databases and deal trackers, assisting with compiling and presenting market and portfolio data to internal stakeholders.
- Provide analytical support to asset management and portfolio management teams, including quarterly valuations and portfolio reporting.
- Prepare ad hoc analyses related to market trends, tenant performance, development feasibility, and portfolio optimization.
Qualifications:
- 2–4 years of experience in real estate, finance, consulting, or related analytical role preferred
- Strong analytical skills with attention to detail and a desire to learn and grow in the real estate investment field.
- Proficiency in Microsoft Excel; experience with PowerPoint preferred. Exposure to real estate tools such as Procore or Argus is a plus but not required.
- Self-motivated and eager to take initiative with a positive, can-do attitude.
- Excellent verbal and written communication skills and the ability to work effectively within a team.
- Ability to manage multiple tasks simultaneously in a fast-paced, dynamic environment.
- Experience performing market and comp analysis.
- Strong attention to detail and ability to manage multiple underwriting assignments.
- Bachelor’s degree in Finance, Real Estate, Economics, Business, or a related field. Coursework in real estate or financial modeling is a plus.
- Willingness to travel occasionally as needed.
GENERAL SUMMARY:
The Director, Hospitality Asset Management for District Wharf Properties (DWP) is responsible for the strategic oversight, financial performance, and operational excellence of the hotel portfolio within The District Wharf ("The Wharf"), a 3.3M SF mixed-use development located along the Potomac River in Southwest D.C.
This individual will be responsible for maximizing asset profitability and long-term valuation for a portfolio of four upscale, upper-upscale, and luxury hotels. Reporting to the Senior Vice President of Investment Management, the Director will serve as the primary Owner’s Representative, ensuring that third-party operators align with DWP’s high standards for guest experience, bottom-line performance, and the integrated programming of uses across the neighborhood.
This role offers a unique opportunity to oversee a premier hotel portfolio while broadening your investment expertise across a world-class mixed-use platform. DWP is committed to professional growth, providing the Director with direct exposure to and the opportunity to master other asset classes including retail, office, multifamily, garage and marina operations.
RESPONSIBILITIES:
Financial and Operational Performance
· Drive top-line revenue and GOP growth across the hotel portfolio by partnering closely with operating teams and senior leadership to create & execute business plans.
· Analyze weekly and monthly financial results, identify performance variances, and collaborate with operators to execute corrective action plans.
· Critically evaluate Food and Beverage operations, to maximize flow-through, concept viability, and non-rooms revenue.
· Analyze and interpret STR (Smith Travel Research) reports and other Business Intelligence data provided by management companies to monitor competitive set positioning, market share, and RevPAR penetration.
Strategy and Capital Management
· Serve as the hospitality subject matter expert by tracking local supply pipelines, macroeconomic trends, and legislative changes affecting the DC tourism market.
· Produce monthly and quarterly performance reporting for Senior Leadership and the Board, providing clear narratives on portfolio health and strategic initiatives.
· Strategically lead the annual operating budget and multi-year capital planning process, prioritizing ROI opportunities that drive bottom-line growth and property valuation.
· Orchestrate the Property Improvement Plan (PIP) process and large-scale refurbishments to ensure brand alignment while seeking ways to enhance competitive positioning and minimize revenue displacement during construction.
· Support underwriting and due diligence for potential transactions and assist in debt-compliance reporting and future financing activities.
· Conduct ad hoc reporting and financial modeling to support strategic decision-making, ownership requests, and market-specific deep dives.
Relationship and Stakeholder Management
· Serve as the primary point of contact for third-party management companies and global brands, holding partners accountable for labor efficiency and guest satisfaction.
· Lead or assist in the negotiation of management agreements, franchise agreements, and vendor contracts.
· Work alongside DWP’s retail and office teams to ensure the hotel portfolio contributes to and benefits from the wider Wharf ecosystem by maximizing value through the strategic programming of shared spaces and amenities.
EDUCATION, EXPERIENCE AND SKILLS REQUIRED:
· Minimum seven (7) years of progressive experience in hotel asset management, acquisitions, development, or operations. Experience with luxury or upper-upscale brands is highly preferred.
· Bachelor’s degree in Hospitality Management, Finance, Real Estate, or a related field. MBA or professional certification is a plus.
· Comprehensive understanding of hospitality-specific metrics and concepts (e.g., RevPAR, Segmentation, GOP, and EBITDA).
· Mastery of financial modeling and investment analysis, including DCF, IRR, and NPV.
· Experience in capital markets work, including a solid understanding of debt and equity structures, financing execution, etc.
· Exceptional verbal and written skills with the ability to present complex financial data clearly to ownership.
· Expert-level proficiency in Microsoft Excel; Argus Enterprise experience a plus
· Proven ability to lead third-party operators and influence senior-level stakeholders.
· Understanding of REIT & TRS structures
ABOUT THE COMPANY:
District Wharf Properties (DWP) is the investment manager and operator of The Wharf, a globally recognized, mixed-use neighborhood encompassing 3.3 million square feet of development along a mile of waterfront in Washington, DC. DWP is an industry leader in the management, leasing, and financing of complex mixed-use properties, as well as the operations, placemaking and programming of community spaces. Led by DWP, The Wharf commands some of the highest commercial and residential rents in the region, hosts more than 100 events per year, and attracts 8 million visits annually.
Physical Demands: The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
Sitting: 60%
Standing: 20%
Walking: 20%
COMPENSATION:
Salary Range: $150,000 – $160,000 per year
Additional Compensation: This position is eligible for an annual target bonus of 25% based on individual and portfolio performance.
BENEFITS: District Wharf Properties offers medical, dental, vision, flexible spending accounts (health care and dependent care), health savings account, life, accidental death and dismemberment, short-term disability, long-term disability, retirement, employee assistance program, vacation, sick, and personal paid time off.
Application Process: To apply, please submit your resume and any relevant information about your candidacy to " Please include the job title “Director - Asset Management” in the subject line of your email.
Job Title: Senior Investment Sales Analyst
Location: Milwaukee
Team: Investment Sales/Capital Markets
Reports To: Director of Transaction Management; works closely with the Transaction Coordinator and Senior Producers
Date: 2/5/2026
About the Company
Cushman & Wakefield | Boerke is a leading commercial real estate brokerage firm deeply rooted in Wisconsin. Since 1921, we have been providing commercial real estate users, owners, and developers with strategic solutions for their business and operational space needs. Our alliance with Cushman & Wakefield allows us to serve the local business community and commercial real estate market by offering national and global reach.
Job Summary
The Senior Investment Sales Analyst plays a critical role supporting Boerke’s Investment Sales Team through advanced financial analysis, property valuation, market research, and the production of institutional‑quality offering materials. This role is designed for an experienced analyst who can independently underwrite complex transactions, provide strategic pricing insight, and serve as a trusted analytical partner to senior producers.
Under the direction of the Director of Transaction Management, this position has meaningful responsibility across the full transaction lifecycle; from initial underwriting and valuation to marketing execution and closing support. This role offers deep exposure to investment sales, capital markets, and institutional clients in a fast‑paced, entrepreneurial environment.
Essential Job Duties and Responsibilities
Financial Analysis & Valuation
- Independently build, review, and refine detailed financial models, including pro formas, discounted cash flow analyses, IRR models, sensitivity analysis, rent-roll forecasting, and NOI projections.
- Lead underwriting efforts across major commercial real estate asset classes, with an emphasis on industrial, retail, multifamily, and office investments.
- Evaluate operating statements, lease abstracts, capital expenditure assumptions, debt structures, and market inputs to support pricing strategy and investment recommendations.
- Prepare and present Broker Opinions of Value (BOVs), pricing guidance, and valuation narratives for internal and client use.
- Help standardize, improve, and maintain underwriting and valuation templates used across the Investment Sales team, in coordination with the Transaction Coordinator and leadership.
Market Research & Data Management
- Conduct advanced market and asset-level research including leasing trends, comparable sales and rents, demographic data, supply/demand indicators, and cap-rate benchmarking.
- Maintain and enhance internal databases for sales comps, rent comps, active listings, and pipeline activity, partnering with the Transaction Coordinator to ensure data accuracy and consistency.
- Research property ownership details, parcel data, zoning information, and historical transaction records to support underwriting and marketing efforts.
- Track macroeconomic and capital markets trends relevant to institutional CRE and translate insights into actionable guidance for brokers and clients.
- Support maintenance of client and investor contact lists within CRM and shared databases to ensure accurate information for marketing and outreach.
Deal Execution & Transaction Support
- Assist in preparing high-quality offering memoranda, teasers, proposals, and pitch materials.
- Support due diligence by organizing data rooms, reviewing third-party reports, and managing document flow under the direction of the Transaction Coordinator and brokers.
- Support property tour coordination, analyze buyer feedback, and assist in preparing negotiation and decision-support materials.
- Assist in assembling closed deal files, including commission sheets and essential documentation, as requested.
- Help prepare activity reports, meeting agendas, and internal tracking sheets for the investment team.
Business Development
- Partner closely with brokers on pitch decks, client updates, competitor/market-share analysis, and custom client deliverables.
- Support new business proposals, RFP responses, and customized client deliverables.
- Assist with CRM pipeline management, mandate tracking, and relationship analytics.
- Support planning and execution of client events and investor outreach initiatives by preparing materials, lists, and follow‑up tracking in partnership with the Transaction Coordinator.
- Contribute to the creation and distribution of team newsletters and market updates by assisting in compiling recent transaction activity, submarket insights, and research findings.
Required Qualifications
- Bachelor’s degree in Finance, Real Estate, Economics, Accounting, or a related field.
- 3-6 years of experience in commercial real estate underwriting, investment sales, capital markets, investment banking, appraisal, private equity, or a related analytical role.
- Advanced proficiency in Excel, including complex financial modeling; strong working knowledge of Microsoft Word and PowerPoint with the ability to produce polished, client‑ready materials.
- Strong understanding of pro forma modeling, lease structures, commercial valuation methods, and core CRE fundamentals.
- Proven ability to independently manage multiple underwriting assignments and deadlines with a high level of accuracy and judgment.
- Excellent written and verbal communication skills, including the ability to simplify complex analyses.
- Comfortable operating in a dynamic, entrepreneurial environment.
Preferred Qualifications
- Prior experience at a CRE brokerage, private equity firm, lender, appraisal firm, REIT, or related capital markets environment.
- Demonstrated experience producing institutional-quality offering memoranda and BOVs.
- amiliarity with platforms such as CoStar, CREXI, RCA/MSCI, Reonomy, and CRM systems.
- ARGUS Enterprise experience strongly preferred.
- Knowledge of the Midwest commercial real estate markets and regional investor dynamics.
Compensation & Benefits
- Competitive salary, commensurate with experience
- Medical, dental, and vision insurance
- 401(k) with company match
- Paid time off and company holidays
- Performance-based bonus structure
- Professional development and industry education support
- Collaborative, entrepreneurial team environment
DIRECTOR OF PRIVATE EQUITY
Company Description:
Sage Investco is a retail real estate company based in Newport Beach, California. Our mission is to collaborate with select groups of retailers, restaurants, and gas station operators to find, develop, and build new sites for their operations throughout the Western United States with a focus on California.
Role Description:
Sage Investco is seeking a Director of Private Equity for our team, with the role located in Newport Beach, CA. This is a full-time, hybrid role, with flexibility for remote work when needed.
The Director of Private Equity will lead the EQUITY INVESTMENTS raising efforts for syndication into the Company’s numerous Real Estate Projects.
The ideal candidate will be an experienced, well connected professional in the realm of Commercial Real Estate, WITH EXISTING INVESTORS: High Net Worth Individuals, Family Offices, and Accredited investors.
Familiarity with Qualified Opportunity Zone (QOZ), Qualified Opportunity Funds (QOF), Delaware Statutory Trusts (DST), Private Investment funds and/or Private REITS is a big plus.
Qualifications:
Local to Southern California preferred.
Able to prepare and modify Offering Memorandums and Proforma analysis
Bachelor's degree or higher in Finance, Business, Economics, Real Estate or related field.
Minimum 8 years of progressive experience within private equity or Real Estate investment with a demonstrated track record of success.
Strong analytical skills and ability to develop detailed financial models and projections of investment opportunities.
Ability to create Offering Memorandums, Pro-forma, and review Legal documents along with the company’s attorneys.
Strong communication, problem solving, and interpersonal skills.
Ability to be proactive, independently manage multiple projects and prioritize under tight deadlines.
**Initial role will be commission-based; upon demonstrated ability to bring investors and successfully close the first deal, opportunity to transition into a salaried Director of Equity position.
Please note that this is a senior-level role and is full-time in-office in Boston, MA.
Groma is building the real estate coin, an on-chain asset that represents diversified ownership in a $100MM+ portfolio of buildings. We operate at the intersection of real estate and technology to unlock a new real estate asset class while making it easier for everyone, from institutional investors to the residents in our buildings, to participate in ownership. Our property technology platform uses AI and IoT to bring new efficiencies to the small unit count multifamily sector, enabling us to efficiently acquire, upgrade, and operate these 2-20 unit multifamily buildings and bring institutional performance to this massive but historically overlooked sector. Our investor technology platform makes owning these assets accessible to a broad array of investors, with bespoke vehicles available to institutional and family office investors and our flagship vehicle, the blockchain-powered Groma Real Estate Trust, available to everyone, with a special focus on enabling ownership for the residents in our buildings. Visit to learn more about us.
About the Role
This senior-level role will join a small team of software engineers that build the digital infrastructure and products that power the company. We're looking for someone that has hands-on experience building, deploying, and maintaining smart contracts in a production environment on EVM networks (Ethereum and Base), as well as experience working with a variety of token standards. Specific nice-to-haves include experience with RWAs/real estate, representing securities with compliance constraints on-chain (e.g. ERC-3643), and DeFi protocols like Uniswap.
While we're looking for an engineer with this background, please note that we also expect all engineers to be willing and able to contribute across our entire technology stack. The primary products that you'll be working on include:
- Tools that are designed to make managing our large and growing real estate portfolio highly efficient. These are tools that we use to address the tactical challenges that arise from managing distributed real estate assets as efficiently as possible while still ensuring the best possible resident experience. We use many standard technology solutions, but also IoT smart home technology and AI to solve and optimize many of our resident and maintenance tasks.
- Products that enable investors to initiate and manage their investments into Groma’s real estate funds. A primary goal of Groma is to make real estate work better for everyone. This means not only owning and managing it well, but also expanding ownership opportunities, with audiences ranging from institutional investors to the residents in our buildings.
- Infrastructure to express Groma’s property assets, investor share holdings, and REIT operations on Ethereum and other networks. Blockchain is a powerful tool for us to increase transparency, investor access, and, over time, unlock new functionality to enable our holders to get the most possible value out of owning real estate.
The most important traits for someone joining the team will be:
- Startup interest. We’re an early stage company and still have a lot left to figure out. There will be lots of ups and down, we don’t yet have all of the answers yet and you’ll be a part of finding them.
- Product mindset. As a startup, we need to be fast to identify and solve problems across the business. We do not have a product team, so we expect engineers to be comfortable working directly with stakeholders throughout the business to understand their needs and build pragmatic solutions to them.
- Technical breadth. As a small team, it’s highly valuable for each member to be able to operate across the entirety of our technology stack. This means being willing and able to work on backend and frontend development, our blockchain infrastructure, or occasionally even some spreadsheet hacking.
- Desire to move fast. As an engineering team, we care about building reliable, secure, and easily-maintainable systems, but also recognize the need to move very quickly as we operate within a fast-moving startup. This means finding the right balance between quality and delivery speed.
The core technologies that the team uses are:
- Languages: Python, TypeScript, Solidity
- Frameworks: Django, React
- Infrastructure: Google Cloud, Postgres, Ethereum
This is a role for someone that can quickly ramp up to execute independently and effectively across the range of technologies described above. You do not need to be an expert in everything mentioned, but should be very comfortable building web applications in Django or a comparable framework and at least interested in learning the rest.
About our Culture
At Groma, we’re looking to build something big and are on a fast growth trajectory. A healthy work-life balance is important to our team, but we also expect a high degree of commitment from every team member. We strive to respect individuals and their needs, while also acknowledging the reality that we have a small team that is trying to accomplish some very ambitious goals in a short period of time.
We are also focused on maintaining our dynamic in-office culture at Groma’s headquarters in beautiful downtown Boston, Massachusetts. We believe that in-person collaboration and spontaneous interpersonal interaction is critical to the company’s success at this stage. Also, our office is great! We own the whole building and have made it very much our own space - we’ve got a gym, locker rooms, a game room, a rooftop garden, and all the normal stuff to make an office an effective and fun place to be. We understand that everyone will occasionally need flexibility, but want to be explicit that this is a fully in-person role.
We have an ever-evolving list of values and conventions that guide how we operate as a company, but here are some of our core ones:
- We approach our work with pragmatic idealism that enables us to focus on our desire to make the world a better place in ways big and small while also being open to intelligent compromises that accelerate us on our path to serve our broader societal goals.
- Our whole team believes strongly that the challenges we are trying to solve require effective teams, not individual heroes.
- We have complex conversations well. We sit at the intersection of housing and blockchain policy, both nuanced topics with real world impacts. We pride ourselves on being thoughtful, seeking the best solutions to real world challenges, and implementing them effectively in the real world.
Disclaimers
While we think that this role is an amazing opportunity for the right candidate, we also want to be upfront about some of the reasons that it might not be a fit for you:
- You want to work in a partially or fully remote environment. We take great care to enable flexibility for team members, but our default will always be to be in office together.
- You just want to write code and are less interested in learning about the business. We expect engineers to spend lots of time with stakeholders figuring out what the right problems are to solve (i.e. doing "product" work), then building the solutions to them.
- Job titles are important to you or you're looking for a quick pathway into engineering management. We're a small, flat organization and intend to keep it that way for the foreseeable future. That said, there are many other types of leadership opportunities available.
- You want a highly predictable job. We're a startup and there have been and will continue to be lots of twists and turns in our story - we change direction quickly and throw a lot of things against the wall to see what sticks.
- You don't want to use AI. While there are tradeoffs that must be managed, we believe that AI-powered coding tools will transform the software engineering profession and are a powerful accelerant.
Job Benefits
- Competitive salary and bonus for the Boston area
- Early stage equity
- 5% 401k match
- 100% employer-paid premiums for high-quality health, dental, and vision insurance plans
- Fully covered commuter passes for bus, subway, boat, or commuter rail
- Unlimited PTO
- 13 official company holidays
- 1 floating holiday: We recognize that there are lots of holidays that are meaningful to different people in different ways and we want to celebrate that by enabling team members to have the time/space to commemorate those days however is appropriate, and using it as an opportunity - if they’d like to - to share the meaning of that day with the broader team
- A beautiful office in downtown Boston with a gym, locker rooms, game room, rooftop garden, and at least one catered lunch and breakfast per week
Senior Finance Manager
We’re hiring a highly technical Senior Finance Manager to help shape enterprise financial strategy as a real assets platform moves from rapid growth into a more institutional operating model.
This position blends corporate finance, portfolio-level analytics, and structured capital markets work. You’ll be the “modeling engine” for leadership—building institutional-quality models from the ground up and translating outputs into clear recommendations around capitalization, liquidity, and long-term value creation.
You’ll partner closely with senior decision-makers to consolidate portfolio cash flows, evaluate recapitalization paths, test securitization/structured finance options, optimize cost of capital, and uphold rigorous underwriting and diligence standards.
Key Responsibilities
1) Corporate & Portfolio Financial Strategy
- Create and maintain fully integrated three-statement corporate financial models
- Build portfolio roll-ups that consolidate asset-level operating performance and cash flows
- Evaluate recapitalization outcomes (e.g., buyout, minority/structured equity, alternative capital solutions)
- Model securitization concepts backed by stabilized affordable-housing cash flows
- Assess valuation, NAV, and cost-of-capital implications across scenarios
- Deliver sensitivity and scenario analysis to support capital allocation decisions
2) Capital Markets & Capital Stack Optimization
- Analyze refinancing approaches and structured debt alternatives
- Model multi-tranche debt structures and distribution waterfalls
- Support leverage strategy, liquidity planning, and covenant monitoring
- Produce investor-ready materials, return analytics, and capital partner reporting
- Assist with negotiations alongside lenders, equity partners, and other institutional counterparties
- Ensure adherence to JV structures, loan terms, and related compliance requirements
3) Advanced Modeling & Decision Analytics
- Build/upgrade LBO, cash flow waterfall, portfolio coverage, and capital pacing models
- Develop distribution schedules and liquidity/runway projections (13-week and longer-range)
- Standardize modeling templates to improve repeatability and controls
- Provide crisp, decision-ready insights to senior leadership
4) Affordable Housing Underwriting & Transaction Support (LIHTC-focused)
- Oversee underwriting for development and acquisition opportunities
- Improve underwriting tools and submission processes for tax credit transactions
- Lead financial diligence, data room readiness, and documentation hygiene
- Support debt, tax credit equity, and transaction closing activities
- Coordinate with internal teams and external stakeholders through execution
5) FP&A Leadership
- Own consolidated budgeting and forecasting
- Convert property-level data into corporate dashboards and management reporting
- Drive variance analysis, risk identification, and forecasting accuracy improvements
- Implement QA standards and financial controls across models and reporting
- Coach junior talent and raise the technical modeling bar
Ideal Profile
- 6–10 years of experience in real estate private equity, structured finance/credit, infrastructure investing, corporate development, real estate investment banking, or REIT/real assets FP&A
- Expert-level Excel skills with the ability to build models from a blank sheet
- Hands-on experience with: three-statement models, 13-week cash flow, LBO, portfolio roll-ups, waterfalls, and multi-tranche debt structures
- Strong understanding of capital stack mechanics and return metrics (IRR, MOIC, DSCR, ICR)
- Executive-ready communication: can explain complex outputs clearly and concisely
- Real estate background helpful, but high-caliber technical modelers from adjacent verticals are welcome
Technical Strengths
- Institutional-grade financial modeling
- Capital structure strategy and optimization
- Enterprise valuation and NAV frameworks
- Securitization / structured cash flow modeling
- Debt tranching, coverage, and covenant analytics
- Liquidity forecasting and runway analysis
- Advanced Excel (Power Query/Power Pivot preferred)
- Investor reporting and performance analytics
Position: Asset Manager– Commercial Real Estate Credit
Location: New York, NY (In-Office) | Full-Time
Company Description
Northwind Group is a Manhattan-based real estate private equity firm and debt fund manager that focuses on investments through its discretionary closed-ended funds and balance sheet direct investments. For over 18 years, Northwind Group has been involved in the acquisition, development, financing, and management of residential, commercial, and senior-living properties valued at over $9.0 billion across more than 400 properties. Leveraging its strong track record and market experience, Northwind Group focuses on generating attractive risk-adjusted returns while maintaining rigorous investment criteria and adhering to its core values of honesty, transparency, and integrity.
Northwind currently manages $3.0+ billion across five closed-ended debt funds, co-investment vehicles, SMAs, and SPEs. Northwind’s closed-ended commercial real estate debt funds (“Northwind Debt Fund”) focus on bridge lending through direct origination of commercial real estate first mortgage and mezzanine loans across various asset types, geographies, and capital structures.
Job Description
Northwind Group is seeking an experienced Asset Manager to join our commercial real estate credit platform. This individual will be responsible for actively managing our loan portfolio from origination through payoff, working in close collaboration with our investment, accounting, and finance teams to maximize portfolio performance.
Responsibilities
Loan Portfolio Management
- Monitor and manage a portfolio of commercial real estate loans including bridge, ground-up construction, conversions, and select mezzanine debt positions across all asset classes, with a particular emphasis on residential product types
- Conduct regular borrower and property-level reviews, including financial statement analysis, rent roll reviews, operating statement analysis, loan reserve analysis, and covenant compliance tracking
- Maintain loan-level waterfalls, cash flow models, and portfolio tracking systems with a high degree of accuracy and attention to detail
- Maintain accurate and up-to-date loan files and asset management records in the portfolio management system
Risk Management & Reporting
- Prepare and present periodic asset management reports, including watch list updates, risk ratings, and portfolio-level summaries for senior leadership and investment committee
- Assist in the preparation of quarterly and annual investor reporting
- Coordinate with accounting and finance teams on loan accruals, PIK interest, fee income, and reserve adequacy
- Support audits, regulatory reporting, and lender compliance requirements as needed
Borrower & Client Relations
- Serve as a primary point of contact for borrowers throughout the life of the loan, maintaining professional, responsive, and solutions-oriented relationships
- Facilitate timely resolution of borrower requests, questions, and issues by coordinating internally across investment, legal, finance, and accounting teams
- Collaborate with finance and accounting on fund-level reporting, NAV calculations, and cash flow forecasting
- Liaise with borrowers, sponsors, third-party servicers, title companies, and legal counsel
Construction Draw Management
- Oversee and process construction draw requests from inception through completion, including review of draw packages, inspector reports, lien waivers, budget-to-actual analyses, and title continuations
- Coordinate with third-party construction inspectors, title companies, and borrowers to ensure requisitions are processed accurately and in a timely manner
- Track construction timelines, budget variances, and completion milestones; escalate material deviations to senior management
- Ensure all disbursements are in compliance with loan agreement terms and construction loan documents
Legal Documentation & Compliance
- Demonstrate a thorough understanding of loan documents including loan agreements, mortgages/deeds of trust, guaranties, intercreditor agreements, and participation agreements
- Monitor and track borrower obligations, financial covenants, reporting requirements, and requests throughout the life of each loan
- Review and process loan modification requests, extensions, and amendments in coordination with legal counsel
- Maintain meticulous loan files ensuring all executed documents, correspondence, and compliance items are organized and up to date
Required Qualifications
- 5-8 years of experience in commercial real estate credit, debt asset management, or loan servicing
- Bachelor’s degree in real estate, Finance, Accounting, or a related field. Background at a debt fund, credit REIT, or private credit platform is preferred
- Deep understanding of CRE debt structures, credit agreements, and loan documentation including loan agreements, mortgages, guaranties, and intercreditor agreements
- Exceptional attention to detail with a meticulous approach to loan file management, draw processing, and documentation review
- Proficiency in financial modeling, cash flow analysis, and property-level underwriting
- Experience working cross-functionally with investment, accounting, and finance teams
- Familiarity with fund-level reporting and investor relations
- Excellent written and verbal communication skills, with the ability to present clearly to senior management
- High proficiency in Excel, PowerPoint, Argus, financial modeling tools, and AI tools
It is expected that the base annual salary range for this position will be $130,000 - $230,000. Actual compensation will depend on the candidate’s experience, qualifications, and geographic location. Employees may also be eligible for a discretionary bonus determined by company and individual performance.
Northwind Group is an Equal Opportunity Employer. Northwind Group does not discriminate in employment on the basis of race, color, religion, sex (including pregnancy status and gender identity), national origin, political affiliation, sexual orientation, marital status, disability status, genetic information, age, membership in an employee organization, retaliation, parental status, military service, protected veteran status, or other non-merit factor.
Who You Are
- Experienced in acquisitions and dispositions, construction and permanent financings, representing both lenders and borrowers
- Background in joint ventures, portfolio transactions, REITs, and real estate funds
- Proven experience with equity joint venture investments, deal structuring, and entity formation
- Familiar with transactions across all major asset classes, including residential, industrial, office, retail, hospitality, and land
- Strong written and verbal communication skills with the ability to clearly explain complex legal and business concepts
- Detail-oriented, collaborative, and motivated to take on increasing responsibility in a team-based environment
- Demonstrates a strong work ethic and solid academic credentials
- Admitted to the New York State Bar or eligible to waive in
We are looking for people who are interested in personal finance and budgeting. In this role you will review practical money-saving strategies and provide feedback on budgeting ideas for everyday households.
You will look at different financial habits, common spending patterns, and simple ways people manage money when budgets are tight. The work is simple and can be done online.
Responsibilities include reviewing budgeting advice, identifying useful money-saving ideas, and sharing your opinion on which strategies are most helpful.
No professional experience is required, but an interest in personal finance, saving money, or budgeting is helpful.
This is a remote opportunity and can be completed from home.
Remote working/work at home options are available for this role.