Underwrite new commercial real estate deals, performing quick-scan analyses and full investment models. Evaluate seller information, validate assumptions, and verify numbers for accuracy and feasibility. Conduct online research and due diligence to support underwriting. Build or refine complex cash flow models in Excel. Track and interpret cash flow for existing portfolio assets. Review monthly financials, identify anomalies, and flag issues. Update actuals quarterly in the post-closing asset management model. Perform lease analysis and evaluate tenant options or rent structures. Support annual tax preparation through organized financial reporting. Assist with lender communications. Provide financial opinions and communicate insights. Support the creation of presentations, memos, and investment documentation. Review financial statements with confidence and accuracy. Handle bookkeeping for smaller assets using QuickBooks. Reorganize Dropbox folders, deal files, and digital documentation. Review leases and loan documents (a major bonus).