The posting
Responsibilities:
- Monitor and help strengthen the performance of the overall portfolio and specific investments, including regular review and reporting of performance against underwriting and budget.
- Communicate and engage with third-party asset managers for the best outcome for the executed investment.
- Monitor markets to identify and assess industry trends and assist in preparation of research and analysis to support investment strategy.
- Discussion with professionals such as lawyer, tax advisor, real estate agent, appraiser etc. to find a solution for ad-hoc issue.
- Manage documentation which is executed in multi-national regions.
- Managing and collaborating with local hired staffs (including middle and back office and investment team).
- Close liaison with Headquarters’ relevant department.
- Ad-hoc task that may be assigned.
Requirements:
- Bachelor’s Degree or higher in Real Estate, Business, Finance, or a related discipline
- At least 3 years of experience in real estate portfolio management, risk management, structured finance or related financial sectors in similar capacity.
- Strong understanding of real estate financial modelling and returns (via excel)
- Real estate investment management skills
- Capital markets and financing/treasury knowledge
- Possess analytical, project management skills
- Proficient in Microsoft Office (e.g. excel, powerpoint)
- Excellent interpersonal and communication abilities (verbal and written)
- Presentation skills and stakeholder management capabilities
- Logical thinking skills
- Proactive Attitude
- Enthusiastic team player with positive work attitude
- Comfortable operating in a fast-paced, multicultural environment.
- Able to work independently and under pressure in changing and cross-cultural environment
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