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Analyst – Investment Management


This is a Full-time position in Houston, TX posted May 15, 2021.

The Professionals’ Choice for Real Estate Jobs

Origin Investments (Origin), a dynamic disruptor in the real estate private equity industry, is seeking candidates who want to join a firm that espouses the following core values:
Think like an Owner Find a Way Treat Everyone with Respect Do the right thing Deliver Results Look for Ways to continuously improve yourself and your position Be Curious and ask questions Celebrate the wins
How are we able to accomplish the first objective of Think like an Owner?

As an employee at Origin, in addition to a competitive salary and benefits package, every employee is provided a compensation structure that allows them the option to purchase stock in the Company, which produces a Team of Owners.

This unique structure creates an alignment of interest at every level and creates a culture of extreme ownership.

Founded in 2007, Origin Investments is a real estate investment firm that acquires office and multi-family properties in 12 fast-growing markets: Atlanta, Austin, Charlotte, Dallas, Denver, Houston, Nashville, Orlando, Phoenix, Raleigh, San Antonio, and Tampa with offices in Chicago, Charlotte, Nashville, and Denver.

Since inception, Origin has invested in over 30 multifamily projects totaling over 7,500 units, ranging from ground-up developments to value-add and stabilized assets.

Origin currently has more than $1.3 billion dollars in assets under management.

The firm’s first three funds are averaging a 30% Net return to investors and have achieved top quartile performance, per Preqin data.

With an ever-expanding number of fund products, Origin is currently raising and deploying capital for our IncomePlus, QOZ and Development Funds that have a myriad of risk-profiles including Core, Core+, Value-Add, Development and Preferred Equity/Mezz. 

The successful candidate will have demonstrated experience working in real estate finance with responsibility for multifamily portfolio analysis, development and analysis of multifamily underwriting models, and an ability to independently manage multiple tasks with multiple parties.

High proficiency in Excel is required, and a multifamily case study including detailed financial analysis will be given during the interview process. 

The Candidate will reside in the Chicago metro area.


Demonstrated 1-2 years of experience with acquisitions or asset management and analysis of a multifamily portfolio (revenue enhancement, expense management, renovation projects, marketing programs, reputation management, etc.); Prepare and update financial models in Excel and/or Argus for existing multifamily and mixed-use assets including analysis of leasing assumptions, financing terms, and joint venture structures in conjunction with recurring portfolio/fund valuations, refinancing options, capital allocation assessments, and hold/sell decisions; Analyze asset performance versus annual plan, acquisition proforma and competitive set performance to inform strategies and tactics; Work with Investment Managers in preparation of annual asset business plans that set clear expectations for operating goals and analyze strategies for enhancing performance and differentiating the resident experience; Evaluate competitive market conditions (economic drivers, infrastructure upgrades, employment trends, new supply threats, strategy of competitive properties, etc.) to inform asset-level pricing and competitive tactics; Track and analyze key performance metrics / research and analyze market data; Collaborate with Acquisition Team on underwriting and due diligence efforts for new multifamily investment opportunities.

Evaluate the reasonableness of underwriting assumptions and develop action steps to address issues discovered during due diligence; Identify innovation opportunities in virtual, physical and service offerings to be implemented into best practices; Contribute torecurring investor reporting, including benchmarking asset performance against proforma and competitive properties with respect to key performance indicators and develop property/submarket narratives; Continual evaluation of systems and processes to uncover and execute on opportunities to enhance portfolio value; Monitor and report on preferred equity investments; Utilize third-party services to solicit resident feedback, enhance the prospect and resident experience, and drive positive online reputation at the property level; Evaluation and management of third-party property management and leasing teams; Development related work including monitoring and analysis of development budgets, schedules, and debt facilities and participation in the design/build phase of development projects; Develop a thorough understanding of multifamily revenue management systems (such as YieldStar, LRO, and RentMax) and participate in regular pricing strategy calls; Work closely with Investment Managers on marketing strategies for both stabilized assets and lease up projects; Participate in property inspections and market tours;
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