Role Objective
Analyze the company's financial position and current projects, identify risks and opportunities, and
design financing and investment structures that maximize profitability and enhance capital
efficiency.
Scope of Work & Responsibilities
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Study and analyze the company's current financial position
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Identify financial weaknesses and operational and financing risks
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Analyze existing and potential investment opportunities
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Evaluate new acquisitions from a financial and investment perspective
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Prepare and analyze financial models (Cash Flow, IRR, ROI, Sensitivity Analysis)
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Propose suitable financing structures (equity, bank financing, partnerships)
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Improve cash flow management and maximize profitability
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Provide strategic recommendations to senior management based on clear financial analysis
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Support development and expansion decisions from a financial and investment perspective
Requirements
Required Qualifications:
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Minimum of 10 years of experience in real estate financial consulting
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Strong expertise in financial modeling and feasibility studies
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Deep understanding of the real estate sector (development, acquisition, and operations)
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Ability to assess financial risks and make sound investment decisions
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Experience working with banks and real estate financing is an added advantage