Job Description
Job Title : Asset Management Analyst Company: Xshore Shift Timings: 3:00 PM-12:00 AM IST About XShore Xshore is a dynamic offshore talent partner for the real estate finance and accounting sector, helping private equity-backed real estate firms across North America and Europe streamline operations and scale efficiently.
Specializing in embedding top-tier offshore professionals from India, we deliver Big 4-trained accountants and analysts—with clients saving over $10 M to date and growing fast toward a $100 M impact milestone.
Our teams embody a high-performance mindset that values ownership, discipline, and results, with a culture built on trust, speed and collaboration. We pride ourselves on sourcing elite candidates—just the top 1%—through rigorous assessments and fast matching, often within two weeks.
We don’t just fill roles; we seamlessly integrate talent, manage onboarding, and sustain performance through regular client engagement and transparent communication.
Job Overview: We are seeking a highly analytical Asset Management Analyst to support senior asset management and investment leadership at a US-based private equity real estate firm.
This role focuses on portfolio-level reporting, asset performance analysis, forecasting, valuation support, and investor reporting execution. This role is deeply operational and finance-focused, involving financial modeling, asset performance tracking, investor reporting, and property-level analytics.
You will work closely with U.
S.-based asset managers and property management teams to drive data-backed decision- making and ensure portfolio performance is optimized.
Key Responsibilities
- Build and maintain asset-level financial models, including cash flow forecasts and valuation models
- Develop rolling 12-month cash flow projections incorporating leasing and expense trends
- Perform hold/sell, refinancing, and capex ROI analyses
- Validate underwriting assumptions by comparing actual performance vs acquisition models Performance Tracking &
- Reporting
- Analyze monthly financials (T-12s, rent rolls, operating statements) and track KPIs such as occupancy, NOI, and collections
- Prepare variance analysis vs budget and prior periods with detailed commentary
- Maintain asset performance dashboards and trackers
- Support monthly and quarterly reporting for internal and investor use Property Management Support
- Track leasing performance, delinquency trends, and operational KPIs
- Audit rent rolls and ensure data accuracy across systems
- Monitor action items from property management calls and track execution Investor Reporting &
- Lender Compliance
- Assist in preparing investor reports, financial summaries, and performance narratives
- Support lender reporting, compliance tracking, and financing documentation
- Maintain reporting calendars and ensure timely delivery of all outputs Leasing &
- Revenue Analytics
- Analyze leasing trends, concessions, rent growth, and lease trade-outs
- Conduct comp set analysis using tools like Co Star and Hello Data
- Support rent strategy recommendations based on market and asset performance Capex &
- Budget Tracking
- Track capital expenditure budgets and actuals at asset level
- Monitor renovation progress and ROI on completed projects
- Reconcile invoices and flag discrepancies Data Integrity &
- Systems
- Ensure data accuracy within Yardi and reporting systems
- Perform monthly data quality checks and corrections
- Support internal reporting tools and automation initiatives Cross-functional Support
- Assist acquisitions team with due diligence and underwriting validation
- Support onboarding of new assets into reporting frameworks Required:
- Microsoft Excel (Advanced)
- Google Workspace Strongly Preferred:
- Yardi Voyager Preferred:
- Co Star
- Real Page / Hello Data
- Deal Path
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