AVP, Real Estate Portfolio Monitoring

at  GIC Investment

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate13 Jul, 2024Not Specified14 Apr, 20245 year(s) or aboveTableau,Communication Skills,Microsoft ExcelNoNo
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Description:

REAL ESTATE – PORTFOLIO MONITORING

We are looking for a suitable candidate to join our Real Estate Portfolio Monitoring (PM) team in London as an Assistant Vice President. PM forms part of the Real Estate Asset Management function within RE where it’s focus lies in operational and reporting capabilities in the asset management scope of activities.

Responsibilities

  • Quarterly, semi-annual and annual reporting of portfolio data for the Europe real estate portfolio i.e. data collection, entry and updates
  • Support the annual budgeting process and co-ordinate the annual strategic asset planning process for European real estate portfolio
  • Ad-hoc deal and portfolio analysis which provides good insight into the portfolio dynamics including investment returns, market values and other property-level operating data
  • Assist with other asset management functions as required
  • Relevant policy/compliance administration, process improvements and roll outs

Requirements

  • Minimum 5 years relevant work experience
  • Good real estate knowledge, including direct, indirect and debt transactions
  • University degree in relevant field (business, accounting, property, or similar)
  • Detail-oriented with ability to work independently and manage projects
  • Advanced user of Microsoft Excel, knowledge of Macros, VBA and visualisation tools such as Tableau and PowerBI
  • Comfortable with large datasets, and adept at manipulating data to deliver insights about the portfolio.
  • Team player with good interpersonal and communication skills
  • Inquisitive self-starter, with ability to work in a fast-paced environment
  • Ability to drive co-ordination and project manage amongst multiple stakeholders
  • Possess an analytical mind, and strong negotiating ability to create win-win situations

Responsibilities:

  • Quarterly, semi-annual and annual reporting of portfolio data for the Europe real estate portfolio i.e. data collection, entry and updates
  • Support the annual budgeting process and co-ordinate the annual strategic asset planning process for European real estate portfolio
  • Ad-hoc deal and portfolio analysis which provides good insight into the portfolio dynamics including investment returns, market values and other property-level operating data
  • Assist with other asset management functions as required
  • Relevant policy/compliance administration, process improvements and roll out


REQUIREMENT SUMMARY

Min:5.0Max:10.0 year(s)

Real Estate/Mortgage

Accounts / Finance / Tax / CS / Audit

Real Estate

Graduate

Accounting, Relevant Field

Proficient

1

London, United Kingdom