Responsibilities:Update and complete quarterly investor reports for all fund investors, containing commentary, financial snapshots and returns projections (including profit and IRR). Reporting packages include overviews of each fund and summary pages for individual investmentsCreate the presentations for the annual investor meeting, which include market outlooks, fund performance summaries and individual investment summariesMaintain rollup financial models for each of Starwood Capital's funds, ensuring the accuracy of all information, including historical and projected asset cash flows, investor contributions/distributions and fund-level expensesTrack and analyze asset and fund information utilizing the group's proprietary databases, facilitating the production of all fund-related analyses and financial reportingContinually improve financial models as well as processes and procedures to increase efficiency and qualityProactively highlight and communicate fund and asset-specific issues and opportunitiesAssist with ad hoc projects and analyses as neededCommunicate with numerous people across virtually all departments of the firm (Asset Management, Acquisitions, Capital Markets, Fund Accounting, Property Accounting, Investor Relations, Legal, Treasury, Design, etc.)Provide support to the Head of Portfolio Management and team, Asset Management, Investor Relations and the CEO/CFO as necessaryRequirements:Bachelor's degreeStrong academic background, preferably in finance or accounting2 to 4 years of relevant finance, accounting and/or analytical experience (real estate experience a plus)Proficient in Microsoft Excel, Word and PowerPointFamiliarity with financial modeling, including discounted cash flow analysesExceptional attention to detailExperience in managing, updating and analyzing large quantities of dataAbility to manage and effectively present informationStrong business writing and communication skillsHighly organizedAuthorization to work in the United States