Their Third Party Funding AUM has grown from strength to strength and has recently been raised to more than USD2 billion from institutional investors since they started on this venture in 2020. They are investing in sectors like logistics, office, student housing, residential, retail etc. in the Asia Pacific region. The largest key markets of interest are China, India, Japan, Australia and Singapore.
Reporting to the Head of Portfolio Management, you will be responsible for driving the performance of the funds raised and delivering strong results to the investors. This will include developing and maintaining fund portfolio models to monitor and forecast fund performance, collaborate with internal stakeholders to prepare reporting and presentations to investors, perform portfolio analytics including performing periodic gap analysis, synthesizing and analyzing fund data and asset performance. You will also be required to address any investor queries.
In this capacity, you will also work with Asset Managers to track roll-out and success of various Funds’ ESG goals, prepare strategic presentations and materials for periodic corporate initiatives and Strategic decision-making.
You possess a strong academic background, with specialization in finance / real estate and have more than 12 years of investment banking/fund management experience in Asia Pacific . You have excellent verbal and written interpersonal and communication skills. You are commercially minded, self starter and a highly organised individual.
All applications will be treated in the strictest confidence. Personal data provided will be used for recruitment purposes only.
Please apply with your CV in word document format. We regret to inform that only shortlisted candidates will be notified. For other positions related to real estate, please go to
EA Licence: 17C8777
EA Personnel: R