Griffin Capital Company
posted 2 months ago
Griffin Capital Company is a leading full-service real estate investment and management firm that has been operational since 1995. The company manages a diverse portfolio of institutional-quality assets across the United States, with a focus on creating reliable, thematic investment solutions tailored to meet the needs of investors and the communities they serve. With approximately $23 billion in assets under management and a development portfolio of over 11,200 apartment units, Griffin Capital is committed to excellence in real estate investment and management. The Portfolio and Asset Management Analyst plays a crucial role in supporting the Real Estate department's efforts to manage risk across various investment vehicles. This position involves developing investment strategies, constructing portfolios, and monitoring both asset-level and portfolio-level performance. The analyst will be responsible for preparing key reports for internal and external stakeholders, including quarterly Investor Reports and various Asset and Portfolio Management reports. Additionally, the role includes assisting in financing, recapitalization, and disposition of assets, as well as performing financial and trend analyses, conducting market research, and preparing marketing materials for investment offerings. The analyst will also engage in cash flow modeling, assist in cash management models, and coordinate with other departments to provide property-level, market, and submarket data to investors and partners. Building relationships with development partners, lenders, and brokers in the multifamily industry is essential, as is reviewing loan documents for compliance purposes. The position requires participation in meetings related to construction progress and operational activities, as well as travel to monitor construction and meet with key market participants.