Asset Manager

Location: Singapore
Discipline:
Client type:
Contact: Ethan Tan
Reference: 2491
Posted: 10 days ago
We are representing an established Singapore real estate developer with a strong presence in the region, known for our innovative and sustainable development projects. Our diverse portfolio of real estate assets includes residential, commercial, and industrial properties, offering a unique opportunity for growth and development.

We are seeking an experienced Asset Manager to join our team, focusing on portfolio asset management. The successful candidate will be responsible for overseeing and optimizing the performance of our real estate assets, ensuring maximum returns and alignment with our business strategy.

If you are successful, you will enjoy the following:
- Competitive salary and benefits package, including opportunities for professional growth and development.
- Collaborative and dynamic work environment, with a team of experienced professionals and a strong company culture.
- Opportunities for career advancement, with a clear path for progression and growth within the company.


Key Responsibilities:
- Portfolio Management: Develop and implement asset management strategies to optimize portfolio performance, including asset allocation, risk management, and returns enhancement.
- Asset Performance Monitoring: Closely monitor and analyze the performance of individual assets, identifying areas for improvement and implementing corrective actions as needed.
- Financial Analysis: Conduct financial analysis and modeling to inform investment decisions, including cash flow projections, sensitivity analysis, and return on investment (ROI) calculations.
- Stakeholder Management: Collaborate with internal stakeholders, including investment teams, developers, and property managers, to ensure alignment and effective communication.
- Market Research and Analysis: Stay up-to-date with market trends, industry developments, and regulatory changes, providing insights and recommendations to inform portfolio management decisions.
- Risk Management: Identify and mitigate potential risks associated with the portfolio, including market, credit, and operational risks.
- Reporting and Compliance: Prepare and submit regular reports to senior management and stakeholders, ensuring compliance with regulatory requirements and internal policies.

Key Requirements:
- Minimum 5 years of experience in asset management or a related field, preferably in real estate or a similar industry.
- Strong understanding of real estate markets, trends, and regulations in the region.
- Financial analysis and modeling skills, with proficiency in financial software and tools (e.g., Excel, ARGUS, etc.).
- Excellent communication and stakeholder management skills, with the ability to work effectively with internal and external stakeholders.
- Strong analytical and problem-solving skills, with the ability to think critically and make informed decisions.
- Bachelor's degree in a relevant field (e.g., real estate, finance, business, etc.).


If you are interested to find out more, apply now!