Key Responsibilities:
- Part of a team that focuses on enhancing the performance of the assets under his/her charge.
- Monitor and analyse the financial performance of assets against budget and market benchmarks.
- Identify and implement appropriate asset repositioning plans and/or enhancement opportunities.
- Perform financial analysis to support asset management decisions.
- Monitor the space and investment market trends that are relevant to assigned asset classes and market regions (including new markets such as Europe).
- Part of an ESG team that drives the company’s sustainability targets.
Requirements:
- Degree in Finance, Business, or Real Estate from a recognised educational institution
- Up to two (2) years of working experience in Real Estate, Finance or Investment related industry
- An independent self-starter with a high level of initiative, sound business acumen and strong interpersonal and communication skills
- Highly analytical and proficient in property related cash flow modelling.
- Experience in implementing sustainability initiatives is advantageous.
- Knowledge of European real estate markets, along with the ability to speak one or more European languages is advantageous.