Monday, July 29, 2013

Capital Markets Analyst, Irvine Company - Newport Beach

Capital Markets Analyst, Irvine Company - Newport Beach
Job Title: Capital Markets Analyst
Company: Irvine Company
Location: Newport Beach, CA 92660
Company and Company Description:
We are master planners, community builders, real estate investors, and asset managers committed to a comprehensive master plan for The Irvine Ranch® drafted in the early 1960s. We plan and bring to life balanced, sustainable communities with a full range of housing, job and retail centers, schools, recreation, trails, parks, greenbelts and permanently preserved open spaces. Our vision -- like our history on this precious land -- is long-term. We invest our talent, energy and resources in the highest quality planning, design, and construction that will last for generations, and assure an unparalleled quality of life for those who live and work here.
Job Description:
The Corporate Finance Analyst position is part of the Company’s fast-paced Corporate Finance Group. Daily activities include running financial models, producing reports and presentations to be used by senior management, evaluating short and long-term debt investment opportunities, performing credit analysis and assisting with debt financing and credit rating activities.

  • Maintain and update financial models
  • Produce daily, weekly and monthly reports for investments, debt and related portfolio metrics
  • Analyze potential investment options and perform total return analysis
  • Analyze financial statements of real estate competitors, prospective tenants, banks, etc.
  • Develop new reports as needed for senior management
  • Respond to time-sensitive information requests from senior management
  • Financial modeling
  • Capital markets research and reporting
  • Assist in preparing presentations for board of directors, rating agencies and lenders
  • Analyze impact of alternative scenarios, such as a range of future interest rates and operating results
  • Monitor and summarize key capital markets developments, including financial and economic data/trends using Bloomberg, SNL and other data services
  • 1-3 or more years of experience in real estate, corporate finance, commercial or investment banking or related field is required
  • Master’s Degree or CFA is preferred
  • Strong financial modeling skills are required
  • Strong knowledge of Microsoft Excel is essential; VBA programming skills are preferred
  • Strong knowledge of Word, PowerPoint and Bloomberg is helpful
  • Strong writing, quantitative and communication skills are required
  • Ability to work well in fast-paced team environment is required
  • Must be highly motivated and able to solve problems independently
  • Strong proficiency in capital markets concepts and terminology strongly preferred

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