About Us
Headquartered and listed in Singapore in 2021, CapitaLand Investment Limited (CLI) is a leading global real asset manager with a strong Asia foothold. As at 31 December 2024, CLI had S$136 billion of assets under management, as well as S$117 billion of funds under management held via stakes in seven listed real estate investment trusts and business trusts and a suite of private real asset vehicles that invest in demographics, disruption and digitalisation-themed strategies. Its diversified real asset classes include retail, office, lodging, industrial, logistics, business parks, wellness, self-storage, data centres, private credit and special opportunities.
The Analyst/Senior Analyst will play a key role in supporting the team in evaluating real estate debt investment opportunities, particularly in the areas of research and analysis, financial modeling and investment underwriting of new opportunities, as well as portfolio management activities for existing investments. The team evaluates debt opportunities in both investment and non-investment grade debt instruments backed by real estate assets which may be structured as senior or mezzanine loan, convertible bonds and/or preferred equity.
Responsibilities
Research and analysis, underwriting and evaluating a variety of real estate debt opportunities
Build complex dynamic financial models to analyze investment opportunities (reviewing structures, relevant underwriting parameters and specific assets using financial models and a variety of quantitative analytical tools to test assumptions and sensitivities)
Perform detailed underwriting and transaction management activities including past and projected investment performance; sponsor evaluation; investment merits and risks, expected returns and sector dynamics as well as assist in the evaluation, structuring and execution of investment recommendations and review legal documentation and closing activities
Produce detailed deal specific investment memoranda for transaction recommendations to the investment committee or other relevant lines of approval
Participate in portfolio management activities including monitoring and evaluating the investment portfolio performance, participating in third party meetings, and analyzing proposed budgets, capital plans and other investment recommendations
Compile industry, market and asset level data and financial information
Requirements
Degree qualification in finance, economics, commerce, real estate or related discipline
1 to 3 years relevant working experience in a related industry
Experience in real estate banking and/or real estate investment would be preferred but candidates from related disciplines will also be considered
Solid financial modelling skills and strong research, quantitative and analytical skills
Fluency in oral and written English and Mandarin to facilitate communications with senior management, internal stakeholders as well as external parties
Keen attention to detail and able to work independently with limited supervision
Strong interpersonal skills, a good team player and a flexible mindset adaptable to changes
Willing to travel extensively
Benefits
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