The ideal candidate will be responsible for monitoring the performance of a large portfolio of real estate assets managed by the group, versus business plan and existing contracts, and preparing necessary periodical reports to top management and external investors. Responsibilities: Participate in preparing financial models and feasibility studies for new projects and assist in finding creative financing solutions and unlocking shareholder value for investors. Take part among a team overlooking billions in assets and funding. Financial Analysis: Conduct in-depth financial analysis of real estate investment opportunities, including cash flow modeling, valuation analysis, and risk assessment. Due Diligence:
Perform thorough due diligence on potential investments, including market research, property evaluations, and financial feasibility studies. Investment Strategy: Collaborate with senior management to develop and refine investment strategies, identifying potential risks and opportunities in the real estate market. Deal Execution: Assist in the execution of real estate transactions, including preparing investment memorandums, conducting negotiations, and managing the closing process. Market Research: Stay updated on industry trends, market conditions, and regulatory changes that may impact investment decisions, providing insightful analysis to guide investment strategies. Financial Modeling:
Develop and maintain complex financial models to assess the financial performance and viability of real estate projects. Reporting and Presentation: Prepare comprehensive reports, investment presentations, and investment committee materials to effectively communicate investment recommendations and strategies. Relationship Management: Build and maintain relationships with key stakeholders, including investors, financial institutions, and industry professionals, to facilitate deal flow and enhance business development opportunities. Team Collaboration: Collaborate with cross-functional teams, including legal, finance, and operations, to ensure seamless execution of investment initiatives. Qualifications: Education: bachelor’s degree in finance, Economics, Business Administration, or a related field.
A master’s degree in finance or a similar discipline is preferred. Experience: Minimum of 5 years of experience in investment banking, financial advisory, or real estate investment, focusing on financial analysis, due diligence, and deal execution. Financial Acumen: Strong understanding of financial concepts, investment valuation methodologies, and financial modeling techniques. Proficiency in analyzing financial statements and conducting market research. Real Estate Knowledge: Solid knowledge of the real estate industry, including property types, market dynamics, and investment strategies. Previous experience in real estate investment banking is highly desirable. Analytical Skills:
Exceptional analytical and problem-solving abilities, with the capacity to analyze complex financial data, identify trends, and make informed recommendations. Communication Skills: Excellent written and verbal communication skills, with the ability to present complex financial information in a clear and concise manner. Strong presentation and negotiation skills are essential. Software Proficiency: Proficiency in financial modeling software (e. g. , Excel, Argus), investment analysis tools, and presentation software. Knowledge of Bloomberg or similar financial data platforms is a plus.
Customize your resume to highlight skills and experiences relevant to this specific position.
Learn about the company's mission, values, products, and recent news before your interview.
Ensure your LinkedIn profile is complete, professional, and matches your resume information.
Prepare thoughtful questions to ask about team dynamics, growth opportunities, and company culture.