Senior Analyst, Portfolio & Asset Management
Responsibilities
Portfolio Management Responsibilities
- Monitor quarterly and annual performance trend on Group’s portfolio.
- Collate and analyse market data to improve operational performance and track impact of any macro-level business change.
- Produce monthly management updates for senior management and corporate development team including any ad-hoc information request.
- Undertake asset reviews with the objective to improve P&L, recommend initiatives on ESG as well as building enhancement.
- Review operational policies, business systems and letting strategies to allow optimum delivery of portfolio performance.
- Assist with the valuation process and consolidate key market drivers.
- Support delivery of process change management with working committee.
- Support the corporate development team in market research and assist in the development and review of financial models for the evaluation of potential new business/ investments opportunities.
- Support due diligence process and coordination with relevant parties in relation to potential investments or divestments.
Asset Management Responsibilities
- Assist in formulating asset plans, updating of cashflow projections and execution of strategies.
- Attend regular owner’s meetings with Facility and Development Manager of Group’s portfolio and follow-up on any action points.
- Preparation of monthly flux report and seek clarification from operator on performance against budget.
- Review annual budget, rent setting, marketing strategies, and all property-related works and contracts.
- Assist with preparing of internal memorandums for approval of major expenditure.
- Analyse and track the Group’s carbon emission, tenant satistfaction and ROI for the capital improvement projects.
- Assist in the preparation of board papers for potential divestment opportunity.
- Any ad-hoc assignments/matters as directed by the Management or your superior from time to time.
Requirements
- Degree in Real Estate, Business, Finance, Economics or related field disciplines.
- 2 – 3 years of experience in Corporate Finance, Private Equity, Real Estate Investment or Asset Management
- Proficiency in Microsoft Office skills (Powerpoint, Excel,Word)
- Ability to operate research data bases such as Thomson Reuters to compile data compsets
- Highly numerate with strong financial analysis and modelling skills.
- Strong interpersonal and communication skills and with keen attention to details.
- Self-motivated with the ability to multi-task and work in fast-paced dynamic environment.