Jeff Marconi, CPA
Portfolio Manager - Real Estate Debt Strategies
Jeff Marconi is a portfolio manager in Real Estate Debt Strategies. In this role he oversees commercial mortgage investments on behalf of MetLife Investment Management's (MIM) third-party clients, including the development of portfolio investment strategies, oversight of new loan production and ongoing loan asset management.
Previously, he was a member of the debt strategies investment committee and coordinated all of MetLife’s loan sales, surveillance and workouts. Marconi joined MetLife in 1994 and prior positions include loan originations, loan & equity asset management and portfolio management. Prior to joining MetLife, he served various roles at Price Waterhouse and Heitman Properties.
Marconi is a Certified Public Accountant who obtained his bachelor’s degree in accountancy from the University of Illinois at Urbana-Champaign and his MBA from New York University’s Stern School of Business.