Portfolio Fund Manager (m/f/d)

Portfolio Fund Manager (m/f/d)

Stuttgart Vollzeit 72000 - 84000 € / Jahr (geschätzt) Kein Home Office möglich
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Auf einen Blick

  • Aufgaben: Manage global real estate investment portfolios and ensure client satisfaction through comprehensive reporting.
  • Arbeitgeber: Join PIMCO Prime Real Estate, a leading global investor managing $95B in assets.
  • Mitarbeitervorteile: Enjoy a diverse and inclusive workplace with opportunities for growth and empowerment.
  • Warum dieser Job: Be part of a dynamic team shaping the future of real estate investments.
  • Gewünschte Qualifikationen: Advanced degree in relevant fields and experience in real estate or portfolio management required.
  • Andere Informationen: Fluency in German is essential; English skills are a plus.

Das voraussichtliche Gehalt liegt zwischen 72000 - 84000 € pro Jahr.

The Portfolio Allianz German Clients & Allianz SE team acts as the primary client manager for the global real estate investment portfolios managed by Pimco Prime Real Estate and serving all German Allianz investors and Allianz SE.

The Portfolio Fund Manager (m/f/d) is a crucial member of the client product team, collaborating closely with key stakeholders in our business to manage complex financial investment products backed by a diverse global real estate portfolio. Additionally, you will be responsible for ensuring comprehensive product reporting, quality assurance, and performance analysis to meet client expectations effectively.

Key Responsibilities

  • Serve as the primary contact for specific client products and/or portfolio mandates, focusing on all investment and market-related aspects of a global real estate investment portfolio valued at approximately EUR 20 billion.
  • Build and maintain a network with key stakeholders, including Finance, Asset Management, and indirect teams.
  • Act as a team player by facilitating regular internal communication and collaboration across departments to gain insights into performance and to stay informed about financial and performance drivers.
  • Lead the regular and ad-hoc client reporting process, ensuring comprehensive performance and attribution analysis, as well as the accuracy of investment cash flows and accounting figures.
  • Collaborate with the Research team to prepare regular market commentaries, and actively participate in defining and communicating the investment and performance narrative to clients and senior management.
  • Monitor and evaluate product performance, developing a holistic understanding of return drivers at both the asset and fund/portfolio levels. Analyze market and sector developments to support product marketing in close collaboration with the client’s product team.
  • Provide support and advice on major operational decisions related to assets, such as leasing and capital expenditures, and participate in the review of asset business plans and strategic discussions.

Key Requirements

  • An advanced graduate degree in Real Estate, Management, Finance, Economics, or a related field is required. CFA or RICS certification is advantageous.
  • Several years of experience in real estate, ideally in portfolio, fund, or management roles. Candidates with a background in alternative investments outside of real estate will also be considered.
  • Proficient in the MS Office Suite, with advanced skills in Excel and PowerPoint.
  • Demonstrated interest and knowledge in real estate markets and/or insurance-linked investment products.
  • Comprehensive understanding of accounting principles (IFRS/German GAAP) related to real estate and/or financial products, along with a solid grasp of reporting requirements for investment and platform structures.
  • Strong analytical and problem-solving abilities, coupled with a high degree of accuracy.
  • Excellent written and verbal communication skills, with a focus on customer satisfaction.
  • Experience working in an international, multicultural business environment.
  • A proactive, hands-on approach and the determination to execute projects and tasks effectively.
  • Fluency in German is essential; English is highly appreciated.

A leading global real estate investor and manager, PIMCO Prime Real Estate is a PIMCO company and part of the PIMCO real estate platform, focusing on the Core and Core+ segments of the market and managing the Allianz Group’s $90B real estate mandate. We manage a global investment portfolio of $95B AUM, with an international team of c. 500 employees working in 16 offices in Belgium, China, France, Germany, Italy, Japan, Singapore, Spain, Sweden, the UK, and the U.S. PIMCO’s real estate platform is one of the largest and most diversified in the world, with over $187B in assets and a broad set of solutions that leverage decades of expertise across public and private equity and debt markets.

Allianz Group is one of the most trusted insurance and asset management companies in the world. Caring for our employees, their ambitions, dreams, and challenges, is what makes us a unique employer. Together we can build an environment where everyone feels empowered and has the confidence to explore, to grow, and to shape a better future for our customers and the world around us.

We at Allianz believe in a diverse and inclusive workforce and are proud to be an equal opportunity employer. We encourage you to bring your whole self to work, no matter where you are from, what you look like, who you love, or what you believe in. We therefore welcome applications regardless of ethnicity or cultural background, age, gender, nationality, religion, disability, or sexual orientation. Great to have you on board. Let’s care for tomorrow.

#J-18808-Ljbffr

Portfolio Fund Manager (m/f/d) Arbeitgeber: Allianz Popular SL.

At PIMCO Prime Real Estate, we pride ourselves on being an exceptional employer, offering a dynamic work culture that fosters collaboration and innovation. Our commitment to employee growth is evident through comprehensive training programs and opportunities for advancement within our global network. Located in Germany, you will be part of a diverse team dedicated to managing significant real estate portfolios, while enjoying the benefits of working for a leading company that values inclusivity and empowers every individual to thrive.
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Kontaktperson:

Allianz Popular SL. HR Team

StudySmarter Bewerbungstipps 🤫

So bekommst du den Job: Portfolio Fund Manager (m/f/d)

✨Tip Number 1

Networking is key! Start building relationships with professionals in the real estate and finance sectors. Attend industry events, webinars, and conferences to connect with potential colleagues and stakeholders who can provide insights into the role and the company.

✨Tip Number 2

Stay updated on market trends and developments in real estate investment. Subscribe to relevant publications and follow thought leaders in the industry to enhance your knowledge and demonstrate your passion during interviews.

✨Tip Number 3

Familiarize yourself with the specific financial products and reporting standards mentioned in the job description, such as IFRS and German GAAP. This will not only prepare you for the role but also show your commitment to understanding the complexities of the position.

✨Tip Number 4

Practice your communication skills, especially in German, as fluency is essential for this role. Engage in conversations with native speakers or participate in language exchange programs to boost your confidence and proficiency.

Diese Fähigkeiten machen dich zur top Bewerber*in für die Stelle: Portfolio Fund Manager (m/f/d)

Advanced Degree in Real Estate, Management, Finance, or Economics
CFA or RICS Certification
Experience in Real Estate Portfolio Management
Proficient in MS Office Suite, especially Excel and PowerPoint
Understanding of IFRS/German GAAP Accounting Principles
Strong Analytical Skills
Problem-Solving Abilities
Excellent Written and Verbal Communication Skills
Fluency in German
Knowledge of Real Estate Markets
Experience in International Business Environments
Ability to Collaborate with Key Stakeholders
Customer Satisfaction Focus
Proactive and Hands-On Approach

Tipps für deine Bewerbung 🫡

Understand the Role: Make sure to thoroughly read the job description for the Portfolio Fund Manager position. Understand the key responsibilities and requirements, and think about how your experience aligns with them.

Tailor Your CV: Customize your CV to highlight relevant experience in real estate, portfolio management, and financial analysis. Emphasize your advanced degree and any certifications like CFA or RICS that are advantageous for this role.

Craft a Compelling Cover Letter: Write a cover letter that showcases your passion for real estate investment and your understanding of the market. Mention specific experiences that demonstrate your analytical skills and ability to communicate effectively with clients.

Highlight Multicultural Experience: If you have experience working in international or multicultural environments, be sure to mention it. This is important for a company like PIMCO Prime Real Estate, which operates globally.

Wie du dich auf ein Vorstellungsgespräch bei Allianz Popular SL. vorbereitest

✨Understand the Role and Responsibilities

Make sure you have a clear understanding of the key responsibilities of a Portfolio Fund Manager. Familiarize yourself with managing complex financial investment products and the importance of client reporting and performance analysis.

✨Showcase Your Analytical Skills

Prepare to discuss your analytical and problem-solving abilities. Be ready to provide examples of how you've evaluated product performance or analyzed market developments in previous roles.

✨Demonstrate Communication Skills

Since excellent written and verbal communication skills are crucial, practice articulating your thoughts clearly. Be prepared to explain complex financial concepts in a way that is easy for clients and stakeholders to understand.

✨Highlight Your Team Collaboration Experience

Emphasize your experience working in multicultural teams and your ability to collaborate across departments. Share specific examples of how you've facilitated internal communication to achieve common goals.

Portfolio Fund Manager (m/f/d)
Allianz Popular SL.
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  • Portfolio Fund Manager (m/f/d)

    Stuttgart
    Vollzeit
    72000 - 84000 € / Jahr (geschätzt)

    Bewerbungsfrist: 2027-02-01

  • A

    Allianz Popular SL.

    100 - 250
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