Fund Portfolio Analyst/Associate

Posted 26 August 2022
Job type Permanent
DisciplineReal Estate

Job description

  • Portfolio, Investment & Asset Management

  • APAC Fund

  • $72-95k plus bonus 



The Company 

The organisation is a well-established, entrepreneurial Real Estate platform with multiple funds. This includes an open-ended fund with a diversified portfolio of assets (logistics, office, retail, student accommodation) across the primary APAC markets. Having enjoyed a positive track record and fresh capital for deployment, there is a need to expand the team. This includes the position of Portfolio Manager.


The Position       

Reporting to a well-respected expatriate Fund Manager, whilst closely collaborating with senior acquisition and asset management colleagues, the appointed individual will enjoy an extremely well-rounded position. The core function will comprise fund-level modelling, variation analysis and consolidated valuation exercises and the crafting of investor reports whilst also supporting finance initiatives relating to refinancing and hedging strategy. The balance will consist of investment underwriting support for new acquisitions and asset management, the latter incorporating acting as ESG lead for the assets.

Why consider this position: the opportunity provides regional exposure across an array of assets within a boutique Private Fund, helmed by a well-respected international Fund Manager and with additional coaching and mentoring offered by a seasoned investment and asset management team. Importantly, the Fund will be deploying fresh capital, thereby providing exposure to the full asset and fund life-cycle


The Person 

Interested candidates will offer a good Degree (Real Estate, Finance/Economics) from a noted University and around 4+/- years of relevant post-graduate experience. Ideally, this should have been secured within an institutional real estate fund/investor complete with very strong exposure to financial modelling and performance analysis including the end-to-end of asset value creation.  Exposure to technical asset management including ESG will be desirable. The position will suit a confident, outgoing and inquisitive individual seeking a collaborative and vibrant team environment. A Masters in Finance or CFA accreditation would be advantageous.

The company will offer a salary in the range of $5.5-8k per month, relative to experience.