Role: Portfolio Management, Asset Management
Location: San Francisco
Jack Melkonian primarily focuses on portfolio and asset management activities for the firm’s commingled opportunity funds and related co-investment vehicles, which collectively have $2.6 billion in capital commitments. In this role, he contributes to portfolio-level strategy, financial analysis and projections, cash flow management, portfolio-level budgeting, client reporting and investment valuations. He additionally contributes to the underwriting and structuring of prospective debt and equity transactions. Mr. Melkonian has 10 years of real estate industry experience. Previously, Mr. Melkonian worked as a Senior Associate with KPMG LLP’s Risk and Advisory Services Group, where his experience includes advising clients during the due diligence process for potential private equity deals. His prior experience at KPMG also included external audit services for venture capital and real estate firms. Mr. Melkonian holds a B.A. in Business Economics with an Accounting Minor from the University of California at Santa Barbara.