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The Investment Manager will be responsible for overseeing and managing the investment portfolio. This includes identifying and evaluating potential investment opportunities, conducting due diligence, managing existing assets, optimizing the portfolio to achieve financial objectives, and ensuring effective tax structuring. The role requires a deep understanding of real estate markets, strong analytical skills, and the ability to work collaboratively with various stakeholders.
Key Responsibilities:
- Develop and implement investment strategies aligned with the organization's objectives.
- Conduct market research and analysis to identify potential investment opportunities.
- Evaluate and perform financial analysis, including cash flow projections, ROI, IRR, and NPV assessments.
- Lead due diligence processes for potential acquisitions, including financial, legal, and operational reviews.
- Coordinate with third-party consultants, such as appraisers, engineers, and legal advisors.
- Prepare detailed investment memoranda and recommendations for the Investment Committee.
- Monitor the performance of the existing investment portfolio.
- Develop and implement strategies to enhance asset performance and value.
- Conduct periodic portfolio reviews and prepare performance reports for senior management and investors.
- Negotiate terms and structure of transactions, including acquisitions, dispositions, and joint ventures.
-Oversee the execution of investment transactions from inception to closing.
- Ensure compliance with internal policies and regulatory requirements throughout the transaction process.
- Develop and implement tax-efficient structures for investments and transactions.
- Work with tax advisors to ensure compliance with relevant tax laws and regulations.
- Analyze and incorporate tax implications into investment strategies and decision-making processes.
- Optimize the portfolio’s tax position through strategic planning and execution.
- Maintain relationships with investors, lenders, brokers, and other industry professionals.
- Identify and mitigate investment risks through thorough analysis and strategic planning.
Key Requirements:
- Bachelor’s degree in Finance, Real Estate, Business Administration, or a related field.
- Minimum of 5 years of experience in real estate investment, asset management, or related fields.
- Proven track record of successful real estate investment transactions and portfolio management.
- Strong analytical and financial modeling skills.
- Excellent negotiation and communication abilities.
- Deep understanding of real estate markets and investment principles.
- Proficiency in financial software and Microsoft Office Suite, particularly Excel.
- Knowledge of tax laws and regulations relevant to real estate investments.
Interested candidates should submit their resume, cover letter, and any relevant work samples to asher.tan@annexion-partners.com
Investment Manager
Location: | Singapore |
Discipline: | |
Client type: |
Contact: | Asher Tan |
Reference: | 1917 |
Posted: | 6 months ago |
Key Responsibilities:
- Develop and implement investment strategies aligned with the organization's objectives.
- Conduct market research and analysis to identify potential investment opportunities.
- Evaluate and perform financial analysis, including cash flow projections, ROI, IRR, and NPV assessments.
- Lead due diligence processes for potential acquisitions, including financial, legal, and operational reviews.
- Coordinate with third-party consultants, such as appraisers, engineers, and legal advisors.
- Prepare detailed investment memoranda and recommendations for the Investment Committee.
- Monitor the performance of the existing investment portfolio.
- Develop and implement strategies to enhance asset performance and value.
- Conduct periodic portfolio reviews and prepare performance reports for senior management and investors.
- Negotiate terms and structure of transactions, including acquisitions, dispositions, and joint ventures.
-Oversee the execution of investment transactions from inception to closing.
- Ensure compliance with internal policies and regulatory requirements throughout the transaction process.
- Develop and implement tax-efficient structures for investments and transactions.
- Work with tax advisors to ensure compliance with relevant tax laws and regulations.
- Analyze and incorporate tax implications into investment strategies and decision-making processes.
- Optimize the portfolio’s tax position through strategic planning and execution.
- Maintain relationships with investors, lenders, brokers, and other industry professionals.
- Identify and mitigate investment risks through thorough analysis and strategic planning.
Key Requirements:
- Bachelor’s degree in Finance, Real Estate, Business Administration, or a related field.
- Minimum of 5 years of experience in real estate investment, asset management, or related fields.
- Proven track record of successful real estate investment transactions and portfolio management.
- Strong analytical and financial modeling skills.
- Excellent negotiation and communication abilities.
- Deep understanding of real estate markets and investment principles.
- Proficiency in financial software and Microsoft Office Suite, particularly Excel.
- Knowledge of tax laws and regulations relevant to real estate investments.
Interested candidates should submit their resume, cover letter, and any relevant work samples to asher.tan@annexion-partners.com
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