Origination / Credit Investments Manager

🕒 May 26

🏢🏡 London – Hybrid

⏰ Full Time

🟡 Mid-level

🟠 Senior

💸 Financial Planning and Analysis (FP&A)

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Logo of Arrow Global Group

Arrow Global Group

WebsiteLinkedIn

1001 - 5000 employees

Founded 2005

💸 Finance

💳 Fintech

🏠 Real Estate

Finance • Fintech • Real Estate

Arrow Global Group is a leading Pan-European investment manager specializing in private credit and real estate. The company focuses on providing strong risk-adjusted returns to investors through its unique sourcing capabilities in the distressed debt and special situations sectors. With a commitment to responsible asset management, Arrow Global leverages local platforms for effective origination, underwriting, and asset management, aiming to address financial challenges such as the housing crisis.

📋 Description

• Originate value-add and special situation opportunities across real estate sectors. • Build and maintain relationships with insolvency practitioners, receivers, administrators, banks, debt funds, brokers / agents, advisors, and other market participants. • Assess market themes and identify strategic or thematic opportunities consistent with Arrow Global’s investment mandate. • Support the preparation of investment committee materials, and transaction recommendations. • Negotiate and structure transactions in collaboration with legal and third-party advisors. • Alongside our Asset / Development Management team, monitor existing investments, and identify value creation or risk mitigation strategies. • Implement robust tracking, reporting, and performance metrics for deal flow.

🎯 Requirements

• Degree-qualified in Real Estate, Finance, Economics, or a related discipline. • Minimum 5 years’ experience in real estate private equity, private credit, structured finance, lending, or special situations. • Track record in originating and/or underwriting real estate transactions. • Strong network across banks, receivers, administrators, and industry intermediaries. • Strong analytical skills and investment risk assessment experience. • Excellent communication, negotiation, and stakeholder management skills. • Commercial mindset with the ability to evaluate structures and identify value add opportunities. • Proficient in MS Excel and financial analysis tools.

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