Mark Fogel is responsible for overseeing the assets in Arbor’s structured loan portfolio and for the daily operations of Arbor’s asset management department, including risk management, portfolio/asset reporting, borrower relationship management and the formulation of disposition and value enhancement strategies. He also works closely with the legal and underwriting departments in evaluating and structuring new loan opportunities and is a member of Arbor’s Credit and Risk Management committees.
Mr. Fogel has a diverse real estate background, which encompasses asset/property management, development, financing and disposition of commercial, retail and residential properties. Prior to joining Arbor in August 2000, he was a Vice President of Greenwich Group International, a global real estate investment banking firm, where he was responsible for the disposition of institutional grade real estate and raising debt and equity for owners and developers of commercial properties. Previously, he held asset management and finance positions with Forest City Ratner Companies and General Growth Properties.
Mr. Fogel is a member of the Mortgage Bankers Association and the National Association of Real Estate Investment Trusts. He holds a Masters of Science in Real Estate from New York University and a Bachelors of Science in Accounting from the University of Delaware. |