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Senior Asset Management Analyst - Multifamily

Remote / Online - Candidates ideally in
Irvine, Orange County, California, 92713, USA
Listing for: MBK Senior Living
Remote/Work from Home position
Listed on 2026-01-30
Job specializations:
  • Finance & Banking
    Real Estate Finance, Financial Analyst, Corporate Finance, Financial Consultant
  • Real Estate/Property
    Real Estate Finance, Financial Analyst
Job Description & How to Apply Below

Senior Asset Management Analyst - Multifamily

MBK Real Estate (MBK) is an industry leader in real estate operations and development. Through its subsidiaries, MBK Rental Living, MBK Industrial Properties and MBK Senior Living, MBK Real Estate is renowned for building award-winning new home and apartment communities, state-of-art distribution facilities and for its reputation in providing exceptional high standards of service throughout its senior living communities.

MBK is a privately held real estate development firm with roots in the business dating back to 1996. MBK's extensive activities through its operating divisions, along with the size and scale of our development and building activities represent the continuation and commitment to American enterprise.

Job Description

MBK Real Estate is hiring a Senior Asset Management Analyst to join our Rental Living team at our Home Office in Irvine, CA! This role will be hybrid with 3 days in office and 2 days remote.

Job Summary:

The Senior Asset Management Analyst is responsible for providing financial analysis and related support in executing operational strategies within MBK’s asset management group, working on a portfolio of multifamily real estate assets. This role is critical in helping to drive the strategic growth and performance of the company’s multi-family portfolio by providing advanced financial modeling, market research, and operational analysis. Successful candidates should demonstrate experience with leveraging a strong foundation in real estate development and finance, combined with strategic thinking, analytical rigor, and cross-functional collaboration, to deliver actionable insights that enhance portfolio value.

Supervisory Responsibilities:

  • N/A

Duties & Responsibilities:

  • Conduct portfolio analysis to benchmark and improve investment performance.
  • Monitor local market conditions including supply, demand, absorption, rents, and vacancy rates, and conduct research.
  • Support the annual operating and capital budgeting process. Utilize reports to evaluate asset performance against stated goals and communicate variances.
  • Monitor asset performance, including net operating income, cash flow and asset value fluctuations, while progressing towards achieving asset value maximization strategies.
  • Generate and maintain proforma models to evaluate acquisition opportunities, joint ventures, dispositions, and recapitalizations.
  • Perform scenario and sensitivity analyses to assess risk-adjusted returns, IRR, equity multiples, and DCF valuations.
  • Prepare and regularly maintain detailed asset-level reports and dashboards for internal stakeholders and capital partners, with insights on NOI trends, and cash flow forecasts.
  • Leverages a deep, specialized understanding of real estate finance—including IRR, DCF, joint-venture waterfalls, and capital markets—to perform complex analyses.

Education Requirements:

  • Bachelor's Degree in Real Estate, Finance, Business, Engineering, or other related field.

Experience Requirements (in years):

  • 3-5 years related financial modeling experience with a strong understanding of financial and real estate concepts such as DCF, IRR, NPV, NOI, cap rates, etc., preferably in an institutional multi-family setting.
  • Must possess strong analytical mindset, as well as excellent written and verbal communication skills.
  • Advanced proficiency in Excel financial modeling; including financial projections and scenario analysis.
  • Strong understanding of real estate capital markets, financing structures, and value creation strategies.
  • Proficient in return metrics (IRR, equity multiple, yield-on-cost) and how they relate to development risk and capital stack structure.

Required Competencies/Licenses/Certifications

  • Microsoft Suite competency.
  • Critical thinker with keen observation skills and an ability to draw conclusions in order to form actionable hypothesis.
  • Excellent communication and presentation skills, with the ability to synthesize complex data for senior leadership.
  • Strong financial literacy with the ability to interpret and analyze income statements, balance sheets, and other financial documents.
  • Strong written and oral communication skills, interpersonal…
Position Requirements
10+ Years work experience
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