Job Description
You are welcome to submit your CV in either German or English
Aberdeen Investments is part of Aberdeen Group plc one of the UKs leading Wealth & Investments groups.
Strengthening talent and culture is one of our strategic priorities. We strive to make Aberdeen a great place to work so that we can attract and retain the industrys best talent.
Our people put our stakeholders at the heart of everything they do by helping us to make a positive difference to the lives of our clients customers colleagues shareholders and society.
We are repositioning our specialist asset management business to meet client demand and are committed to providing excellent client service supported by leading technology and talent.
As a global business Aberdeen consists of three divisions: Investments Adviser and interactive investor (ii). Each division is dedicated to meeting and adapting to our clients evolving needs.
In European markets our dedicated and highly experienced investment team manages our European products including emerging market income and debt smaller companies European credit ETFs real estate and sustainable investing propositions.
We have offices in Belgium Denmark FranceGermany Ireland Italy Luxembourg the Netherlands Spain Sweden Switzerland and the UK. Our breadth of experience gives us close proximity to the companies we invest in and the markets we operate in.
About the Department
Our investments vector manages a diverse range of asset classes on behalf of institutional and private clients. The Real Estate team in Germany works collaboratively across asset management transactions property management ESG treasury and research to deliver long-term value for investors. The team culture is open supportive and focused on enabling our clients to be better investors through disciplined portfolio management and strong market insight.
About the Role
As a Deputy Fund Manager based in Frankfurt (hybrid working three days in the office) you will support the delivery and active management of three major German residential funds including a 4bn portfolio across the countrys major cities. This role will help drive effective reporting strategic planning and investment decision-making while deepening your experience within one of Europes largest residential real estate platforms. It is an exciting opportunity to advance your career expand your market knowledge and invest in your tomorrow while working closely with an experienced Fund Manager and a stable collaborative team.
Key Responsibilities
Support the strategic and operational management of large German residential funds ensuring alignment with agreed investment strategies.
Prepare high-quality client reports investor documentation and internal strategy papers using robust financial and performance analysis.
Collaborate with asset management transactions and other internal teams to gather insights and contribute to acquisitions proposals and forecasting.
Contribute to fund modelling scenario analysis and planning tools ensuring risk and return drivers are appropriately assessed.
Represent the fund team in internal and external discussions supporting client communication and stakeholder engagement.
About the Candidate
Experience within real estate investment ideally in residential markets or similar institutional portfolios.
Strong analytical skills including proficiency in Excel and financial modelling with the ability to interpret portfolio risk and performance drivers.
Fluent German and strong English communication skills with confidence in producing reports and presenting information.
Collaborative detailfocused and comfortable working with multiple stakeholders across departments.
An understanding of the sources of risk and return within a portfolio from a single tenancy unit up to portfolio level.
Recognised professional property qualifications.
Required Experience:
Manager
abrdn is a global investment company and asset manager committed to helping investors achieve their investment goals.