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.
Responsibilities:
- 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 ad-hoc projects and assignments as needed.
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 (Argus, Cougar, etc) is a strong 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.