Analyst – Debt

Company Background

Cain International is a privately held real estate investment firm operating in Europe and the United States. Founded in 2014, the company currently manages $10.8bn in assets (as of 31 Dec. 2021). Cain International also invests in lifestyle and leisure businesses that deliver experiences, services and amenities for modern consumers. Cain International is a partnership between its CEO, Jonathan Goldstein and Eldridge. Cain International Advisers Limited, the firm’s asset management and investment advisory division, is an SEC-registered investment adviser. Further information is available at www.cainint.com.

Cain International’s debt platform was launched in 2014 to provide thoughtful and bespoke capital solutions across the real estate debt markets. With significant capital backing and a track record of over $5bn of capital deployed between the US and Europe, the platform is seeking to continue its significant growth in the US. The platform focuses on construction loans, transitional loans, and restructurings throughout the capital stack on a senior secured, mezzanine or structured equity basis. The platform seeks to pursue high-value, high-conviction opportunities with a strong thesis and clear relative-value.

Cain International is seeking an Analyst to join its real estate Debt team. Analysts are an integral part of the team, involved in all aspects of originating, research, underwriting, and closing of new investments as well as on-going portfolio management.



Responsibilities

Underwriting, evaluating, and structuring commercial real estate debt investments across all asset classes throughout the US.

Entrepreneurial approach to originating opportunities through proprietary networks and sources.

Detailed research of key macro and micro trends within the US real estate markets and beyond.

Execution of transactions in addition to ongoing and active portfolio management.

Oversight of internal processes including pipelines, origination networks and investor communications.



Qualification

Minimum Education: Bachelor’s Degree with a major in real estate, economics, or finance preferred.

Ideally 0.5-3 years’ of commercial real estate or finance experience with an investment firm ,REIT, brokerage, bank, real estate advisor, or insurance company.

Excellent real estate financial modeling skills, specifically proficiency in Microsoft Excel, Word, and PowerPoint.

Superior writing, presentation, and communication skills.

Self-motivated, organized, proactive, and detail-oriented individual with a commitment to providing a high-quality work product.



Compensation and Benefits

Compensation will include a competitive base salary and bonus, and an attractive benefits package.

We are an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex (including pregnancy), national origin, age (40 or older), marital status, sexual orientation, gender identity/expression, citizenship, real or perceived disability or handicap, genetic predisposition, veteran status, and/or any other protected category in accordance with applicable federal, state or local laws.



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