4 More Capital Partners is a boutique real estate investment firm specializing in solving complex corporate and real estate challenges through strategic advice and hands-on asset management. We operate across Germany, Austria, and the UK, focusing on delivering transparent, results-driven solutions for our clients. Since 2023, we also invested in a small trading business and intend to keep buying more businesses outside the real estate space.
We're now looking to expand our financial capabilities with a talented real estate financial modeller who can develop sophisticated models that drive our investment decisions and asset management strategies.
Tasks
Design and develop comprehensive real estate financial models for our investment portfolio across CRE and residential assetsCreate meticulous tenant-by-tenant cash flow projections with advanced lease modelling capabilities
Weibull distribution to model residential lease durations (and all other dependencies)
Build sophisticated loan models including senior debt, mezzanine financing, capex facilities, refinancing scenarios, and various amortization structures
Develop detailed tax calculation modules covering EBITDA, book values, depreciation, tax loss carried forward accounts, and capital gains analysis
Model complex capital expenditure plans using S-curve methodologies
Create residual land appraisal models for development projectsImplement scenario and sensitivity analysis including Monte Carlo simulations with multi-variable data tables
Generate clear, presentation-ready output tables and dashboards for investment committee and external stakeholders
Potential to assist with actual reporting for banks and investors as our partnership develops
Requirements
Advanced Excel proficiency with expert-level formula knowledge (3D references, sumproduct with multiple conditions, index match with multiple conditions)
Proven experience in developing complex real estate financial models, particularly in commercial and residential sectors
Demonstrated expertise in several real estate markets (Germany, UK, and US experience a plus)
Deep understanding of loan structures, financing terms, and debt modelling techniques
Comprehensive knowledge of key real estate performance metrics and how they are calculated (net initial yields, yield on cost, debt yield, DSCR ratios, IRR, equity multiples)
Experience with tax modelling in real estate investments
Ability to create transparent, easy-to-follow models with clear documentationSelf-motivated with excellent communication skills
Fluent English (required)
German language skills (advantageous)
VBA and/or Python skills (advantageous)
Benefits
Completely remote work arrangement
Flexible hours that accommodate your existing commitments
Direct impact in a small, agile team environment
Exposure to diverse real estate investment strategies
Opportunity to develop into a long-term partnership
Opportunity to contribute to the development of proprietary tools and systems
Potential for full-time / part-time retainer arrangement
If you're passionate about financial modelling excellence and want to contribute to real estate investment strategies with tangible impact, we'd love to hear from you.
Please submit your CV along with a short cover letter containing a detailed compensation proposal (hours available per month x USD rate per hour) and examples of your previous work (anonymised as needed).
We're excited about the possibility of working together!
NO RECRUITERS!
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