Woodside Health (WSH) is a Cleveland based private equity real estate investment firm with a national scope that acquires and manages medical outpatient buildings (MOBs). WSH currently has over $750M in assets under management and is rapidly growing its portfolio.
WSH is seeking a full-time Investment Management Analyst/Associate who will focus on financial analysis & reporting, asset strategy & planning, asset management, and investor relations. This is a highly visible role supporting critical organizational initiatives and is both highly quantitative and qualitative in nature. The position will have exposure to all company functions working directly with senior leadership with significant opportunities for professional development, advancement, competitive compensation, and benefits.
Core Job Responsibilities
Financial Analysis & Reporting: Our portfolio includes multiple investment vehicles and 30+ properties that we manage with consistent detail. We develop portfolio and asset level cashflow and valuation models to outline risks/opportunities, which help us to make informed decisions.
Key responsibilities include: • Create and maintain asset, fund, and portfolio level pro forma models with complex waterfall structures • Create and maintain portfolio and asset level financial models to monitor cash flows, distributions, debt covenants, performance thresholds, returns, and various other KPIs • Collaborate across internal teams and external service providers to aggregate, consolidate, and synthesize data to accurately populate models that guide decision making across business units • Update and maintain accurate ARGUS models • Monitor budget variances, identify issues, locate sources of variance, address issues, and establish ongoing monitoring to ensure issues are corrected • Draft reports for both retail and institutional clients monitoring progress toward investment objectives and execution of the business plan
Asset Strategy & Planning: We closely develop, implement and monitor value strategies for each of our properties. We work with lenders, brokers, consultants and others to drive value for each of our assets. We are effective communicators and actively identify opportunities to add value.
Key responsibilities include:
Work closely with management to develop asset and portfolio level annual business plans, monitor progress, and assess next steps
Work closely with management to support asset sales, refinancing, and recapitalizations
Communicate with lenders and equity investors as needed
Asset Management: Assist with ownership review of budgets, CAM estimates, CAM Reconciliations, leases, collection issues, tenant defaults, and various other ownership "business decisions" that always need made.
Key responsibilities include: • Review incoming lease requests for alignment with the business plan and recommend next steps • Monitor tenant collections and assist with collection and legal efforts when needed • Monitor capital projects, tenant improvement projects, and various other construction projects across the portfolio and assist with business items as needed • Work closely with leadership to develop annual property level budgets • Work closely with leadership to complete annual CAM reconciliations • Communicate with tenants to answer questions and provide support as needed
Investor Relations: We have multiple investment vehicles ranging from single purpose vehicles (SPVs), Funds, and Joint Ventures with investors ranging from retail clients to major institutions. You will work closely with management to support multiple areas of the capital raising and investor support process.
Key responsibilities include:
Develop pitch decks in Power Point
Assist in reviewing and compiling equity and debt offering materials
Communicate with investors to answer questions and provide support as needed
Collect investor funds and signatures
Update investment management software
Job Requirements
1-3 Years performing financial planning and analysis, investment analysis, audit, investment banking, management consulting or other financial/quantitative roles
Strong written and verbal communication
Advanced knowledge of Excel
Experience working with and synthesizing large data sets
Strong financial modeling skills
Experience with ARGUS is preferred
Efficient working knowledge of Word, e-mail and other business and communication software
Ability to read and understand leases, loan documents, private placement memorandums and other related legal documents
Highly organized with keen attention to detail and the ability to prioritize and manage multiple projects with independent deadlines
Demonstrate integrity, an ownership mentality, innovation, and relational intelligence
Intermittent travel to conduct site visits
Candidates should be ready to complete a case study as part of the interview process