Analyst – Fund Analysis

Stockholm
Application deadline: 2026-10-30

About Niam Group

Niam Group is a leading private markets firm in the Nordics, focused on Real Estate, Infrastructure, Credit and Private Equity. Founded in 1998, Niam was among the first to introduce real asset private equity to the Nordic region. Over the past decades, we have executed some of the region’s most notable transactions. Since inception, Niam has raised approximately €8 billion in capital and currently holds more than €5 billion in assets under management across 11 active funds. We are headquartered in Stockholm with offices in Norway, Denmark, Finland, Luxembourg, Switzerland and UK. As our platform continues to expand, we remain dedicated to the values that define both Niam and the Nordics: transparency, integrity and resilience.


About the Opportunity

Are you at an early stage of your career and looking to combine financial analysis, real estate investments, and data-driven development? We are looking for an Analyst with approximately 1–3 years of relevant experience to join our Fund Analysis function within the Asset Management team in Sweden. Working closely with the Fund Manager and other experienced colleagues, you will support the analysis and reporting of funds, portfolios, and property holdings, gradually taking on greater ownership as your expertise develops. This is an opportunity to build a strong foundation in fund and portfolio management while contributing to the continued development of our models, tools, and ways of working.

 

What You Will Do

  • Support the analysis of fund, portfolio, and property performance, with a focus on returns, risks, and key value drivers.
  • Prepare key performance indicators, variance analyses, simulations, and sensitivity analyses, and help translate the findings into clear decision support.
  • Structure, validate, and analyse financial and operational data to produce reliable and decision-useful materials.
  • Contribute to recurring fund reporting, track record updates, and materials for board and annual general meetings.
  • Prepare analyses and supporting information for Investor Relations in connection with periodic reporting and investor enquiries.
  • Coordinate with internal and external information owners, follow up on deliverables, and escalate variances, risks, and data gaps when identified.
  • Contribute ideas and practical support to the development of models, analytical tools, and reporting processes.
  • Explore, together with the team, how AI, automation, and other digital tools can improve quality, efficiency, and ways of working.

What You Bring

  • A relevant academic degree in business administration, finance, industrial engineering and management, real estate economics, or a comparable field.
  • Approximately 1–3 years of relevant professional experience, for example in real estate investments, fund or portfolio analysis, transaction advisory, audit, corporate finance, controlling, or a related field.
  • A strong interest in financial analysis and real estate, together with a desire to understand how data supports investment and portfolio decisions.
  • A good foundational understanding of cash flows, financial statements, and common return metrics. Experience applying these concepts in a real estate or investment context is an advantage.
  • Strong Excel skills and confidence working with financial data. Experience with Power Query, Power BI, databases, AI tools, or automation is advantageous but not essential.
  • The ability to communicate clearly and professionally in both Swedish and English, verbally and in writing.

Who You Are

  • Meticulous and dependable – you pay attention to detail, take pride in producing accurate work, and seek support when needed.
  • Analytical and solution-oriented – you enjoy working with numbers, identifying patterns, and turning complex information into clear conclusions.
  • Curious and eager to learn – you ask thoughtful questions, seek to understand the business, and actively develop your knowledge and skills.
  • Proactive and improvement-oriented – you take initiative within your area of responsibility and look for practical ways to improve quality and efficiency.
  • Interested in AI and emerging technologies – you are curious about how new tools can create tangible business value and keen to build practical experience in applying them.
  • Collaborative and communicative – you build positive working relationships, contribute your perspective, and respond constructively to feedback.

Why Join Us?

This role is designed for someone in the early stages of their career who wants to develop strong capabilities in fund and portfolio analysis. You will learn from experienced colleagues, gain exposure to the full investment lifecycle, and work close to the business from the outset. As your knowledge and confidence grow, you will take ownership of recurring analyses and deliverables, contribute more independently to decision support, and progress to increasingly complex assignments. The breadth of the role—spanning financial analysis, commercial insight, stakeholder interaction, and digital development—provides a strong platform for long-term growth within real estate investment management.

 

 Application

Please apply with your CV and cover letter, interviews will be held on an ongoing basis. 

Application deadline: October 30, 2026

Contact person

Fredrik Pappila

fredrik.pappila@niam.com

Thank you for your application! Application submit failed, please try again Apply quick and easy

Please provide your first name.
Please provide your last name.
Please provide a valid e-mail.
Click here to upload your document
Please provide at least one document (ex CV, letter, grades)
      The file size cannot exceed 50 MB
      Please send the documents in PDF or Word format.
      Please approve the Privacy Policy.

       

      5 %