Conduct active research, due diligence and analysis on investment opportunities for real estate (funds and directs)
Prepare rigorous financial models, investment memos and recommendations for investment committee and board approvals
Monitor and review performance of existing investments in view of the entire portfolio and asset allocation
Prepare monthly / quarterly / annual performance reports of the underlying investments and entire portfolio
Actively monitor portfolio risk metrics by generating reports and building model scenarios
Actively maintain and update investment pipeline and portfolio so as to build an institutional quality investment portfolio framework to meet and exceed the portfolio's return objectives.
Actively prepare and attend relevant Board and IC meetings update on relevant industry trends / reports / databases relevant to the existing and potential investments
Work closely with the firm's network of bankers, auditors, lawyers on all potential investments
Requirements:
Bachelor's Degree in Accounting, Finance, Economics or equivalent
At least 2-4 years' deal experience from an Investment Bank or Buyside Investment firm with exposure to Real Estate
CFA/CAIA qualification would be an advantage
Strong critical thinking, fundamental and technical analysis capabilities
Proficient in Microsoft Office and other key research databases such as Bloomberg, CapIQ, MI etc.
Familiar with a range of analytical rools, databases and software relevant for investments and portfolio management
Excellent written, verbal communication and presentation skills
Fluent in Mandarin to read documentation for Chinese investments
High level of attention to detail and quality
Self-motivated, hands-on, self-starter, curious and team player
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