2027 Asset Management Investments - Analyst Training Program - Off-Cycle-Frankfurt
JPMorgan Chase
- Location
- Frankfurt a. Main, Germany
- Work model
- On-Site
- Level
- Mid
- H-1B history
- 1,524 approvals (FY2023)
- Posted
- Sep 1, 2026
About this role
As a Products Analyst in the European Private Markets Real Estate team, you will gain in depth experience on a range of real estate investment and asset management strategies across various asset classes. Are you curious about real estate investment strategies? We're looking for energetic, creative talent to join our global team of experts to develop innovative investment strategies for our clients. You'll have what you need to succeed – from training and mentorship from senior executives to projects that engage your skills. Working here means joining a collaborative, supportive team where your diverse perspective will help us innovate the next wave of products and solutions.
Job summary
The programme is non-rotational providing you with an opportunity to develop solid relationships with your desk/team and get involved in real-time projects. Be prepared to be flexible, learn quickly, and act on your judgement; there's a lot to absorb, but you'll benefit from the support of dedicated junior and senior staff members who will help you integrate into your team and answer any questions you may have throughout the programme. You will participate in a performance management process where you will set and monitor your goals and objectives. Alongside the learning curve of your main role, you’ll gain a different perspective of the firm through desk based training, business presentations and various networking opportunities.
Job responsibilities
Supporting the initial screening of investment opportunities (single assets / portfolios with a focus on office, residential, logistics/ industrial) Cash-flow modelling & financial analysis Conducting asset/market specific research Compiling internal memoranda and presentations to support investment decisions Participate in a performance management process where you will set and monitor your goals and objective Required qualifications, skills, and capabilities Being a penultimate year student Expected graduation date of December 2026 to June 2027 Excellent verbal and written communication skills - fluency in German and English is essential Logical thinking and quantitative skills, excellent attention to detail, good level of numeracy is required Flexibility, teamwork, strong interpersonal skills, and the ability to handle pressure Strong knowledge in corporate finance and Excel (financial modelling) Preferred qualifications, skills, and capabilities Studies of Business Administration, Finance or similar preferred, but not required – applicants from all disciplines are welcome Previous experience in real estate investment, M&A, private equity or management consulting a plus What You Can Expect J.P. Morgan Asset Management is a spearheading investment manager of choice for institutions, financial intermediaries and investors, worldwide. With a heritage of more than two centuries, a broad range of core and alternative strategies, and investment professionals operating in every major world market, we offer investment experience and insight that few other firms can match. Our teams have a clear focus on managing client assets and delivering strong risk-adjusted returns with leadership positions in America, the United Kingdom, Continental Europe, Asia, and Japan. The program is an opportunity to take your career to the next level through hands-on experience, relevant skills training and valuable professional networking. Alongside the learning curve of your main role, you’ll gain a different perspective of the firm through desk based training, business presentations and various networking opportunities. Based on your personal achievements, those who successfully complete the program may receive offers of full-time employment. Alternatives Real Estate: The JPMAM private markets platform provides a spectrum of innovative investments that, when used correctly, can play a key role in generating new sources of return and portfolio diversification. Spanning real estate, real assets, private equity,