Private Equity Analyst
Listed on 2026-09-13
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Finance & Banking
Financial Analyst, Portfolio & Asset Management, Corporate Finance
About Amplify Capital
Amplify Capital is a Denver-based private equity firm providing opportunistic growth capital across businesses, real estate, and other high-conviction investments.
We partner with proven operators and established businesses that are ready to scale. Our approach is disciplined, relationship-driven, and focused on investing in opportunities that are already working. We combine capital, operational experience, strategic resources, and a strong network to help our portfolio companies and investments reach their full potential.
Amplify Capital operates with a lean, entrepreneurial team in which every team member is hands-on, every investment decision is deliberate, and every dollar deployed is backed by conviction.
Mission of the RoleAmplify Capital is seeking a results-driven Investment Analyst to support the evaluation, execution, and ongoing management of investments across private equity and real estate.
The Investment Analyst will participate in the full investment lifecycle, including opportunity sourcing, financial modeling, underwriting, due diligence, transaction execution, fund administration, asset management, and investor reporting. The position will be responsible for conducting financial and risk analyses, developing and tracking key performance indicators, preparing investment materials, and monitoring the performance of portfolio companies and real estate assets.
This position offers exposure to all areas of Amplify Capital and the opportunity to work directly with firm leadership, operating partners, property management teams, investors, lenders, and other third-party professionals.
The successful candidate will have strong analytical, critical-thinking, communication, and execution skills. We are looking for someone who takes ownership of projects, produces consistently high-quality work, and thrives in an entrepreneurial, fast-moving, and high-performing culture.
Key Outcomes and Responsibilities Investment Analysis and Underwriting- Evaluate prospective investments across operating businesses, real estate, and other opportunistic investment strategies.
- Build and maintain detailed financial models for debt and equity investments.
- Calculate and analyze NOI, EBITDA, DSCR, debt yield, leverage, cash-on-cash return, equity multiple, IRR, and other relevant return metrics.
- Model partnership structures, preferred returns, distribution waterfalls, and multiple financing and exit scenarios.
- Conduct sensitivity analyses to evaluate downside risk, operating assumptions, capital requirements, and potential investment outcomes.
- Prepare investment memoranda, executive summaries, presentations, and recommendations for firm leadership.
- Support market research, competitive analysis, valuation exercises, and investment due diligence.
- Support the full lifecycle of business and real estate transactions, from initial evaluation through closing.
- Coordinate due diligence materials, financial records, data rooms, third-party reports, lender requirements, and transaction checklists.
- Work with attorneys, accountants, lenders, brokers, consultants, operators, and other transaction professionals.
- Track transaction milestones, deliverables, open items, and closing requirements.
- Assist leadership in sourcing and evaluating new investment opportunities.
- Monitor the financial and operational performance of portfolio companies and real estate investments.
- Develop and maintain asset-level and company-level business plans, budgets, forecasts, and performance dashboards.
- Establish and track KPIs that provide timely visibility into financial performance, operating trends, risks, and opportunities.
- Compare actual performance against budgets, underwriting assumptions, prior periods, and investment objectives.
- Identify revenue-enhancement, expense-control, and operational-improvement opportunities.
- Evaluate capital improvement and renovation projects, including anticipated costs, timing, and return on investment.
- Assist in developing strategies designed to maximize cash flow, preserve assets, and increase long-term portfolio value.
- Prepare clear recommendations and help ensure identified initiatives are implemented and tracked to completion.
- Work with third-party property management teams to maximize revenue, NOI, asset preservation, and overall investment performance.
- Coordinate with property management and capital project teams to complete annual budgets and long‑term capital‑needs assessments.
- Review occupancy,…
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