Review and enhance financial models for real estate assets, ensuring accuracy and relevance to current market conditions.
Conduct scenario and sensitivity analyses to evaluate the impact of variables such as sales fluctuations, interest rate changes, and debt restructuring on project cash flows and returns.
Support the creation of new models derived from existing frameworks to address evolving business needs.
Prepare weekly and monthly reports on financial and operational performance, highlighting key metrics, risks, and opportunities.
Develop dashboards and KPI summaries to enable management decision-making and portfolio tracking.
Assist in evaluating the portfolio’s ability to service debt and identify potential needs for equity injections or bridge financing.
Review legal agreements (e.g., asset management contracts, sale agreements) to extract key obligations and terms.
Summarize findings and provide guidance to internal departments based on contractual requirements and implications.
Collaborate with internal teams (finance, legal, development) and external stakeholders (banks, investors) to ensure alignment and transparency.
Gradually assume ownership of specific assets within the portfolio, becoming the go-to contact for performance updates and strategic input.
Contribute ideas to unlock value across the portfolio and flag areas of concern or underperformance.
Support presentations to senior leadership, including the department head and CEO, with clear, data-backed insights.
Qualifications:
Experience:
3–5 years in real estate investment, development, or asset management.
Education:
Bachelor’s degree in Finance, Economics, Real Estate, or related field; MBA or CFA is a plus.
Skills:
Advanced Excel and financial modeling
Strong analytical and problem-solving abilities
Familiarity with real estate contracts and investment structures
Excellent communication and presentation skills
Ability to work independently and collaboratively across functions