Asset Manager at Brooklyn Investment Group

Arlington, Virginia, United States

Brooklyn Investment Group Logo
Not SpecifiedCompensation
Mid-level (3 to 4 years)Experience Level
Full TimeJob Type
UnknownVisa
Real Estate, Multifamily InvestmentsIndustries

Requirements

  • Bachelor’s degree in Real Estate, Finance, or related field
  • 4–7 years of experience in real estate investment or asset management, ideally multifamily
  • Strong financial modeling and analytical skills
  • Deep understanding of property operations and valuation
  • Effective communicator with ability to manage multiple priorities independently

Responsibilities

  • Maximize the value of a multifamily real estate portfolio through the strategic execution of business operating plans and capital strategies
  • Optimize fund-level returns through proactive portfolio and asset management
  • Oversee CapEx, renovation, and pricing strategies
  • Partner with property management to ensure operational alignment
  • Monitor market trends and competitive positioning
  • Conduct hold/sell and refinance analyses
  • Support asset marketing, broker engagement, and buyer diligence
  • Collaborate with acquisitions team on underwriting and due diligence
  • Maintain operating models and long-term cash flow projections
  • Analyze monthly financials, budgets, and lender obligations
  • Lead annual budgeting and variance analysis and provide feedback and insights
  • Manage capital planning and special projects
  • Ensure compliance with loan covenants and regulatory requirements
  • Oversee lender inspections, insurance claims, and tax appeals
  • Track ESG performance and sustainability initiatives
  • Perform sensitivity analyses for asset decisions and scenario planning
  • Deliver timely performance reporting to internal and external stakeholders
  • Prepare presentation-ready materials for leadership and capital partners
  • Maintain compliance documentation and operational records

Skills

financial modeling
asset management
multifamily real estate
CapEx management
budgeting
underwriting
due diligence
cash flow projections
portfolio management
ESG
sensitivity analysis

Brooklyn Investment Group

Integrates crypto and equity portfolios for advisors

About Brooklyn Investment Group

Brooklyn connects traditional financial advisors with digital wealth management by offering a platform for customized portfolios that include both cryptocurrency and equity investments. The platform features automated tax loss harvesting to enhance after-tax returns and provides professional risk management guided by an experienced Chief Investment Officer. Brooklyn's leadership team has extensive backgrounds in finance and technology, allowing them to deliver advanced tools and services to financial advisors. The company's goal is to improve investment performance and risk management for its clients.

New York City, New YorkHeadquarters
2016Year Founded
$14.5MTotal Funding
SEEDCompany Stage
Fintech, Financial ServicesIndustries
11-50Employees

Risks

Increased competition from fintech companies could erode Brooklyn's market share.
Cryptocurrency market volatility poses risks to Brooklyn's crypto portfolios.
Regulatory scrutiny on AI-driven services may increase compliance costs for Brooklyn.

Differentiation

Brooklyn integrates crypto and equity portfolios for financial advisors.
The platform offers automated tax loss harvesting to enhance after-tax returns.
Brooklyn's leadership includes experts from top-tier financial institutions.

Upsides

Brooklyn raised $21 million in Series A funding to scale its platform.
The rise of DeFi offers new crypto investment opportunities for Brooklyn.
Increased regulatory clarity around crypto benefits Brooklyn's portfolio offerings.

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