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Salary
$91k – $170k per year (Estimated)
Location
In office (London)
Seniority
Architect · 6+ years exp
Employment
Full-Time
Overview
Company
Impact
Profile match
Barings is a global alternative and fixed income asset manager serving institutional, insurance and intermediary clients. It invests across public and private credit, real estate equity and debt, capital solutions, emerging markets and multi-asset strategies, with private credit a core franchise. The firm was formed in 2016 by combining Babson Capital Management, Cornerstone Real Estate Advisers and Baring Asset Management, is headquartered in Charlotte, North Carolina, and is a subsidiary of MassMutual.

At Barings, we are as invested in our associates as we are in our clients. We recognize those who work diligently for us and reward them for personal and professional integrity, communication skills, distinct competencies and expertise in specific strategies, ability to collaborate as a team member and true dedication to the interests of our clients.

We thank you for your interest in joining the Barings team, and invite you to explore our current employment opportunities.

Position Title: European Real Estate Portfolio Management

Business Title: Associate Director / Director

Department: Real Estate Equity

Location: London

Background

Barings is looking to hire a member of the Barings Real Estate European Value Add (the Fund) portfolio management team. The Fund series consists of three funds to date, the first fund which raised €300m in 2016 and a second which raised €850m in 2021. Fund 3 launched in 2025 and has committed around 60% of the sponsor seed capital (€400m) with final close of third party capital in Q4 2026 / Q1 2027.

The Role

  • Portfolio management:

    • Act as an assistant Portfolio Manager.

    • Manage and prepare quantitative analysis of portfolio and asset business plans

    • Collate and report committed and actual spend against approved acquisition budgets

    • Develop and maintain fund models for performance and forecast reporting, distributions and movements in investment allocations and performance

    • Perform frequent portfolio updates, collating data from local teams and JV partners to establish inflows and outflows in portfolios, manage cash across portfolios and ensure compliance with investment guidelines

    • Measure performance and understand net asset value calculations.

    • Provide fund and client reporting to internal and external clients, ensuring its accuracy and timely delivery

    • Co-ordinate with performance and marketing teams in production of materials for client presentations and investor queries

  • Sourcing:

    • Rely on and build existing network to identify market trends and gain insights across European markets

    • Complement Country Teams to ensure visibility and consistency of message for BREEVA in our target markets

  • Strategy:

    • Contribute to debates with PM & research teams to set fund strategy based on thematics & relative value

    • Formulate strategy decks for preferred sectors

    • Work with Country Teams to define deliverable target allocation parameters

  • Transactions:

    • Working with deal teams early in the process to align on underwriting & deal risks

    • Question and drive rigour in the underwriting process and deal review

    • Inspect assets the fund is acquiring

    • Assess competence of partners to execute business plan

    • Participate in tax & structuring workstreams

    • Negotiate Joint Venture term sheets

  • Asset management:

    • Chair bi-weekly asset management meetings with Country Teams

    • Lead critical thought for analysis and recommendations on all key decisions

    • Monitor and optimise asset and fund level financing strategy

    • Oversee hold / sell analysis and disposals

    • Take ownership of ad hoc projects

  • Fundraising:

    • Prepare strategy & fundraising materials

    • Compile and present track record

    • Provide performance updates and portfolio update presentations

    • Over time work towards more LP facing involvement

Requirements

  • 6-9 years’ experience in a real estate organization, real estate private equity fund or real estate division of an investment bank

  • Strong knowledge & experience in analysing and modelling complex deals and financial structures

  • Pan-European transaction experience across all sectors including negotiating and managing joint ventures, SPAs & FAs

  • Hard working, high degree of attention to detail and ease with numbers

  • Substantial level of skill in liaising with a range of stakeholders, using interpersonal, consultation and relationship building skills

  • Ability to commercially evaluate financial data, and present conclusions to inform business decisions

  • Highly developed verbal and written communication skills, including the ability to prepare documentation for stakeholders’ groups at varying levels

  • In-depth knowledge of Microsoft Office products specifically Excel, PowerPoint, and Word and AI tools.

  • Fluency in spoken and written English with additional language skills an advantage

  • Willing to travel

  • Hands on asset management / development management experience preferable

Requisite Skills

Additional Skills

Barings is an Equal Employment Opportunity employer; Minority/Female/Age/SexualOrientation/Gender Identity/Individual with Disability/Protected Veteran. We welcome all persons to apply.

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