Job Description
Responsible for in-depth research and analysis to support our real estate investment and portfolio strategies. You'll be a core member of the team, working closely with investment and portfolio managers and across departments to identify and evaluate opportunities, monitor market trends, and ensure accurate and timely portfolio reporting.
- Conduct comprehensive research and financial analysis of potential investments across various real estate asset classes (residential, office, retail).
- Proactively track industry trends, economic factors, regulations, and other market influencers to identify investment opportunities and potential risks.
- Support the development and implementation of investment and asset management strategies.
- Generate insightful reports on portfolio performance and contribute to accurate and timely reporting for assets under management.
- Collaborate effectively with other departments to ensure seamless communication and data exchange.
- Assist with collating data and information for board and/or management reporting
- Assist with ad-hoc projects and assignments as needed.
Job Requirements
Diploma with 3-5 years' experience or University degree in Real Estate, Finance, Business, or a related field.
Strong understanding of real estate fundamentals and financial modelling is a must.
Proficiency in Microsoft Office Suite (Word, Excel, PowerPoint) is required.
Experience with real estate investment and asset management software is a plus.
Excellent analytical and problem-solving skills with a keen eye for detail.
Strong written and verbal communication skills to effectively present findings and collaborate with stakeholders.