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Arrow Global’s Lending Solutions team provides bespoke, structured real estate financing across Arrow’s core Western European markets. The team originates, structures, executes and manages performing and special situations investments across a wide range of asset classes and capital structures. Transactions include bridge financings, development loans, structured mortgages and other secured lending solutions across various leverage profiles. Leveraging Arrow’s local platforms and origination network, the team accesses differentiated investment opportunities and delivers compelling risk-adjusted returns, while providing borrowers with flexible, tailored financing solutions. As a vertically integrated investment manager with proprietary origination channels, disciplined underwriting and active portfolio oversight are central to capital preservation and performance generation. The Associate / Senior Associate will be responsible for the institutional-grade asset management and active oversight of completed lending transactions (with an initial focus on UK loans). The role is process-intensive and documentation-heavy, requiring a high degree of technical fluency in real estate finance structures, facility agreements and intercreditor frameworks. You will act as a key control function within the investment lifecycle — ensuring that each loan is actively monitored, compliant with its legal documentation, and managed in accordance with internal risk policies and investor reporting standards. This position offers the opportunity to help formalise and enhance asset management procedures as the portfolio grows, embedding best-in-class controls, reporting standards and governance frameworks across the Lending Solutions platform.
Job Responsibility
Portfolio Monitoring & Covenant Control
Documentation & Structural Governance
Financial & Asset-Level Performance Analysis
Governance, Reporting & Systems
Borrower & Stakeholder Management
Requirements
Outstanding academic credentials with a degree from a leading institution
Direct experience in commercial real estate loan asset management within a bank, credit fund or alternative lending platform
Strong working knowledge of standard European real estate finance documentation, including facility agreements, security packages, development monitoring structures and intercreditor arrangements
Advanced financial analysis and modelling skills, with high proficiency in Excel and PowerPoint
Demonstrated ability to interpret complex legal documentation and translate contractual obligations into operational processes
Strong understanding of development finance mechanics, including cost-to-complete analysis, draw processes and reserve management
Exceptional attention to detail and process discipline, with the ability to build and maintain robust control frameworks
Clear, structured written and verbal communication skills, including the ability to draft formal credit memoranda and articulate complex financial matters to senior investment professionals and external stakeholders
Strong relationship-building skills with high emotional intelligence (EQ)—skilled in empathy, active listening, adaptability, and managing diverse stakeholder relationships with tact and professionalism
High levels of accountability, ownership and professional judgement
A desire to operate within a collaborative, high-performance and client-facing investment environment