This role supports the execution and the implementation of the Company's strategies and programs that drive the financial and operational performance of the fund by gathering and analyzing market, property, and portfolio data, identifying opportunities for improving and/or operational performance, managing programs that promote revenue or client satisfaction enhancement, and performing analytical, program management, or other tasks that support the daily operation of the fund. JOB DESCRIPTIONMaintains and updates fund-level models used to revalue current portfolio and produce fund-level return metrics. Helps design and prepare materials and deliverables for presentation to internal committees, outside institutional investors, and other stakeholders.Mon
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