Retail Financial Asset Manager
Listed on 2026-01-10
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Finance & Banking
Portfolio Manager, Financial Manager, Risk Manager/Analyst, Corporate Finance -
Management
Portfolio Manager, Financial Manager, Risk Manager/Analyst
Combined Properties, Incorporated is a privately held real estate investment, development, and management company with approximately $2 billion in assets under management, consisting of retail and residential properties. The firm owns and operates a diverse, high-quality portfolio across multiple markets. Combined Properties maintains an entrepreneurial private‑company culture
, minimal joint‑venture complexity (only two partnered assets), and direct access and exposure to best‑in‑class senior decision‑makers. The company values intellectual curiosity, adaptability, and the thoughtful use of technology and data to continuously improve how assets are operated and decisions are made.
The Retail Financial Asset Manager is a central partner to the retail platform
, reporting directly to the EVP of Retail Asset Management and supporting the strategic, analytical, and operational decision‑making across the company’s retail portfolio. This unique role offers exposure to asset management, leasing, property management, construction, and capital markets
, with a particular focus on value‑add initiatives, redevelopment, re‑leasing strategies, and portfolio performance analytics.
The Retail Financial Asset Manager will lead underwriting and feasibility analysis, market research, portfolio and tenant analytics, budgeting and forecasting, and cross‑functional coordination, while also presenting memos to leadership on asset performance, opportunities, and risks. The position works closely with the EVP, CFO, SVP of Leasing
, and the Property Management and Construction teams
, and is expected to function as a trusted, business‑/analytical thought partner as well as a highly capable executor.
- Minimum 4 years in commercial real estate required, with exposure to retail assets strongly preferred.
- Background may include financial analysis, underwriting, asset management, development, project management, or a combination thereof.
- Experience preparing financial projections, feasibility analyses, and portfolio reporting.
- Familiarity with acquisitions, dispositions, refinancing, and other capital transactions is highly desirable.
- Strong financial modeling, underwriting, budgeting, and analytical skills.
- Highly Quantitative Skillset – Advanced proficiency in Excel, tech‑forward skillset, and knowledge of AI‑enabled technology and tools.
- Passion for market analytics/trends with the ability to think critically to enhance decision‑making and asset performance.
- Clear communicator with the ability to work effectively across all departments and with external consultants.
- Collaborative, thinks long‑term, and builds credibility through consistent high‑quality work – Has a “learn‑it‑all” mindset.
Interested? Please apply for immediate consideration.
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