Our client is a rapidly growing alternative investment manager and non-bank lender focused on commercial real estate credit. Since inception, the business has experienced significant growth, expanding nationally and internationally while establishing itself as a leading provider of property, private credit solutions. The platform deploys several billion dollars annually on behalf of high-net-worth, family office, and institutional investors across multiple investment strategies. The culture is highly entrepreneurial, offering direct exposure to senior leadership and founders, with a genuine appetite for growth, innovation, and internal progression. The business operates in a meritocratic environment where high performers are given significant responsibility and long-term career opportunities.
This is a great opportunity for a Portfolio Manager to join the firm's front-office portfolio management and capital markets function. The role sits at the intersection of portfolio management, structured finance, fund financing, and balance sheet management, providing broad exposure across multiple investment vehicles and funding structures.
Over time, the successful candidate will assume responsibility for a dedicated group of investment vehicles, with direct ownership of portfolio performance, liquidity, and overall fund management outcomes.
We are interested in speaking with candidates with approximately 4–7 years' experience gained within:
The successful individual will be highly numerate, commercially minded, and comfortable operating across both analytical and relationship-driven aspects of investment management.