Investment Manager, Malaysia at ESR Group
Kuala Lumpur, Kuala Lumpur, Malaysia -
Full Time


Start Date

Immediate

Expiry Date

07 Jul, 26

Salary

0.0

Posted On

08 Apr, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Analysis, Financial Modelling, Investment Evaluation, Transaction Execution, Due Diligence, Portfolio Management, Stakeholder Management, Market Research, Strategic Planning, Risk Assessment, Capital Markets, Fundraising, Corporate Finance, Valuation, Reporting

Industry

Real Estate

Description
Role Purpose To lead financial analysis, modelling, and investment evaluation for the Venture(s), providing strategic insights to the Country Head and senior stakeholders. The role is responsible for driving investment decisions, overseeing portfolio performance, and supporting capital markets activities while managing key stakeholder relationships. Key Responsibilities Financial Leadership & Analysis Lead financial analysis of the Venture(s), providing insights on performance against budgets, forecasts, and investment targets. Oversee evaluation of projects and acquisitions, ensuring alignment with investment criteria and strategic objectives. Review and guide the development of robust financial models for the Venture(s) and individual investments. Provide forward-looking analysis, scenario planning, and risk assessments to support decision-making. Investment & Transaction Management Lead preparation of investment papers (e.g. Project Investment Papers (PIP) and Final Investment Papers (FIP)) for Executive Committee and Board approvals. Oversee due diligence processes, including financial, tax, and commercial assessments. Manage portfolio revaluations, including validation of assumptions, valuation outputs, and timelines. Work closely with cross-functional teams (legal, tax, asset management) to execute transactions effectively. Stakeholder & Relationship Management Develop and maintain senior relationships with key stakeholders, including Malaysia sovereign wealth funds (e.g. EPF, KWAP, KWEST, PNB, SOCSO, Khazanah, LTH). Act as a key point of contact for investors and internal stakeholders on financial and investment matters. Lead and participate in regular stakeholder engagements, including quarterly in-person meetings. Research, Strategy & Reporting Lead market research and provide strategic insights on industry trends, competitors, and investment opportunities. Review and deliver high-quality reports, presentations, and investment materials for senior management and investors. Ensure integrity and accuracy of data inputs into ESR’s budgeting and reporting systems. Capital Markets & Fundraising Support and, where required, lead capital markets initiatives including equity fundraising. Oversee preparation of prospectuses, information memoranda, and other investor communications. Collaborate with internal and external advisors on transaction structuring and execution. Degree in Finance, Accounting, Economics, or a related discipline. 5–6 years of relevant experience in investment analysis, corporate finance, private equity, or real assets. Strong financial modelling, valuation, and analytical capabilities. Proven experience in transaction execution and investment evaluation. Experience working with sovereign wealth funds or institutional investors. Strong stakeholder management skills with the ability to engage senior counterparts. Excellent communication and presentation skills. Ability to manage multiple priorities in a fast-paced environment. Private Health Insurance Paid Time Off Training & Development Performance Bonus
Responsibilities
The Investment Manager will lead financial analysis, modelling, and investment evaluation to provide strategic insights for the Venture(s). They are responsible for driving investment decisions, managing portfolio performance, and overseeing capital markets activities while maintaining key stakeholder relationships.
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