Job Description :
- . Work closely with the client’s asset management team to manage the day-to-day workflows of the fund's existing assets, including monitoring & analysing cash flows, tracking & analysing asset performance, managing risk, overseeing the fund's third-party partners & to execute the business plan
- Portfolio onboarding - track & summarize reporting, prepare analytics, communicate status, process, and asset level activity to various groups, including asset management & investment teams, throughout the life of the investment
- Collaborate with the asset management team & external business partners in the facilitation and review of performance, suggesting value enhancements where applicable
- Co-ordinate with third parties & internal teams on lender reporting, monitoring of loan covenants, and ensure compliance with credit agreements
- Outline key terms in credit and purchase agreements
- Execute and enhance operational efficiencies and information flow with both internal and external teams
- Work with internal / external teams to manage funding and distribution activity
Real Estate Technology Project Management
Work closely with the client’s technology team and third-party consultants on high priority real estate technology implementation initiativesPerform detailed review of chart of account mapping to real estate asset's trial balance accounts during the implementation stage of technology and onboarding of new dealso Review financial statement reconciliation and resolve mapping discrepancies to ensure that generated financial statements reflect deal activity and performance, as expected
o Understand how trial balance level accounts roll up to financial statements, determining the need for new trial balance accounts where necessary
Assist in managing third-party workflowsUtilize dynamic portfolio management tool to analyse the deal's standardized financial statements, key performance metrics, and other partner reporting on a recurring basisReview budget-to-actual and other outputs from the real estate portfolio management toolMonitor partner reporting requirementsSkills Required
Sound experience in asset management or related fields (Real Estate / Loans / Structured Products) (6-8 years)Strong accounting (US GAAP & IFRS) knowledge with advanced MS Excel and MS PowerPoint skills (a must)Strong financial and analytical skills with a well-developed understanding of key investment performance driversStrong written and verbal communication skills with meticulous attention to detail and ability to multi-taskAbility to cultivate trust and build strong partnerships with different counterpartsTraining and mentoring junior team membersAdvantageous Skills
Knowledge of third-party databases such as Yardi, Argus, CoStar, Real Page, Bloomberg, Alteryx, Tableau, etc.Hands-on experience with VBA macrosAcademic Requirements
CPA / CFA / MBA or equivalent qualification in accounting & finance from a reputed institution