About the job
RXR Realty, headquartered in New York, is a vertically integrated investment management firm with over 450 professionals. The company focuses on acquisitions, asset and portfolio management, property operations, development, construction, leasing, and technology. RXR invests in real estate credit, rental housing, commercial properties, and proptech, using value-added and opportunistic strategies.
Role Overview
The Vice President, Assistant Portfolio Manager, plays a central role in the performance and strategy of RXR’s real estate private equity and debt funds. This position oversees fund-level financial performance, portfolio strategy, and optimization projects. Responsibilities include forecasting, analytics, and investor reporting. The VP collaborates with acquisitions, asset management, capital markets, and accounting teams to support fund performance, liquidity, capital structure, and investor communications. Strong real estate fund experience and advanced financial modeling skills are essential, along with the ability to make strategic recommendations to senior leadership.
Fund Management and Forecasting
- Build and manage advanced financial models at both fund and investor levels, focusing on accuracy, scalability, and strategic value.
- Lead fund performance forecasting, including scenario modeling, sensitivity analysis, covenant monitoring, liquidity optimization, and capital deployment planning.
- Oversee fund cash management to ensure compliance with all fund- and asset-level covenants.
- Supervise annual budgets, quarterly forecasts, and regular portfolio reviews, confirming that financial assumptions are sound and conclusions are well-supported.
- Drive analytics at the portfolio level, such as hold/sell analysis, refinancing scenarios, return attribution, benchmarking, and market performance reviews.
- Demonstrate expertise in fund partnership agreements, joint venture structures, and waterfall mechanics.
Investor Reporting and Communications
- Create, review, and improve presentations for senior leadership and investors.
- Translate complex financial and operational data into actionable insights for executive decisions.
- Oversee the preparation of quarterly and annual investor reports, coordinating with multiple teams to deliver high-quality, investor-ready materials.

