Find Jobs
Find Jobs Near You – Available Work in Your Location
Skip to job details
H
Hines
Associate or Senior Associate - Fund Management
Career Insights for Brokerage Clerk
See where this job fits in the broader career landscape. Knowing your career path helps you see what's possible from here.
Scorecard
Based on Texas data
Review key factors to help you decide if this role fits your goals. How is this calculated?
What they do
A Brokerage Clerk works on behalf of clients at a stock exchange. Delivers orders to securities brokers, checks final orders and keeps a record of transactions; delivers securities, distributes dividends and provides tax calculations for clients.
$90,334 / year median in Texas
+5% projected growth
Job Description
Associate or Senior Associate - Fund Management Hines - 4.1 Houston, TX Job Details Full-time 1 day ago Qualifications Microsoft Word Presentation software Spreadsheets Research Bachelor's degree Relationship management Managing projects Quantitative analysis Full Job Description Overview When you join Hines, you will embark on a career journey fueled by vision and guided by leaders who set the standards of our industry. Our legacy is rooted in innovation and excellence, earning us a spot on Fast Company's esteemed annual list of the World's Most Innovative Companies, as well as recognition as one of U.S. News & World Report's Best Companies to Work For in 2024. Discover endless opportunities to grow and make your mark at Hines. Responsibilities The Associate or Senior Associate with Fund Management, will focus on the analysis of real estate investment opportunities and will provide support for the Fund Management team's decision-making and management of key investments. The Analyst will support Managing Directors in assessing fund-level considerations for acquisitions, asset management, and disposition recommendations. Reports to the Managing Director, Fund Management - Americas. Responsibilities include, but are not limited to: Assist with the review and execution of potential fund investments. Prepare, maintain, and review recurring and ad-hoc asset and fund level reports. Provide analytical support for leasing and capital expenditure decisions. Create and review financial models for investment underwriting, property valuations, and hold/sell analyses. Utilize market intelligence and quantitative research to identify strengths and risks of investment opportunities. Coordinate with other units within Investment Management (Finance, Research, Risk) and within the broader firm (e.g., regional teams) to advance major projects. Provide general support to senior team members in decision-making and strategy execution. Coordinate and execute special projects as needed. Manage the fund's pipeline report and create investment materials with varying levels of detail for use by the Fund Team, broader internal stakeholders, and external audiences.