Our client is a leading real estate development, investment and capital management company headquartered in Asia. They currently manage four REITs and six private equity real estate funds which hold a portfolio of assets in Asia Pacific, the United Kingdom and the United States. As of last year, our client owns and manages circa $40 billion of office, retail, logistics, industrial, residential, corporate housing and student accommodation properties.
Our client is expanding its investments across Europe and now requires an additional member in its asset manager department supporting the asset managers on property and finance-based functions. You will be responsible for the preparation of financial modelling, investment appraisal and tracking of both historical and forecast performance of assets to support senior management in making strategic decisions. You will conduct appropriate scenario analysis and stress testing to ensure the asset / portfolio risks are fully understood. You will take ownership of all reporting related matters with respect to a national portfolio of assets.
To succeed in this role, you should be a good team player, possess a high level of initiative and the ability to work independently in a fast-paced environment, being hands-on and resourceful. You should also possess strong communication and interpersonal skills. You should have good knowledge of UK (and preferably also European) real estate markets.
Knowledge, Experience and Qualifications