A major international investment platform is looking to appoint an Asset Manager within its Singapore-based real assets team.
The successful candidate will support a growing Asia-Pacific portfolio, with significant exposure to digital infrastructure and data centres alongside other real estate strategies. The position combines investment underwriting with hands-on post-investment asset management, working closely with investment colleagues, operating partners and management teams to deliver business plans and maximise value across assets.
This is a broad, commercially oriented role for an investor who enjoys being close to both transactions and portfolio operations, and who is interested in helping build and optimise a high-growth regional digital-infrastructure portfolio.
Responsibilities:
- Support the assessment of new investments, development opportunities and operating platforms across Asia-Pacific, with a particular focus on data centres and related digital-infrastructure assets
- Contribute to underwriting, financial modelling, valuation, market assessment and investment-committee materials
- Coordinate and execute selected due-diligence workstreams, including commercial, financial, tax and operational analysis
- Assess business plans, development pipelines, operating models, market dynamics, competitive positioning and downside risks
- Identify key value drivers and upside opportunities beyond the base-case underwriting
- Partner with operating companies, development partners and senior management teams to monitor delivery against agreed business plan
- Review operating performance, development progress, leasing or customer metrics, capex programmes, budgets, forecasts and periodic management reporting
- Analyse portfolio-company and asset-level financial performance, including cash flow, P&L, balance sheet, funding requirements and returns
- Support initiatives to enhance performance and value, including operational optimisation, asset enhancement, development execution, capital-structure planning and strategic repositioning
- Build and maintain asset-management reporting, valuation and scenario-analysis frameworks, including IRR, MOIC, return forecasting and sensitivity analysis
- Help prepare materials for portfolio reviews, valuation discussions and senior-management meetings
Candidate profile
- 8–10+ years of relevant experience in real estate, infrastructure, private equity, principal investing, asset management or a similar buy-side environment
- Experience covering Korea real estate is essential; familiarity with the broader Asia-Pacific investment landscape is advantageous
- Exposure to data centres, digital infrastructure, logistics, development platforms or operational real estate is strongly preferred
- Strong financial modelling and valuation skills, with the ability to build, review and challenge complex underwriting and portfolio models
- Good understanding of investment returns, capital structures, development economics and operational value-creation levers
- Experience in investment due diligence, business-plan review and working with portfolio-company or operating-partner management teams
- Commercial judgement, intellectual curiosity and the ability to form clear recommendations from complex information
- Strong communication and stakeholder-management skills, including the confidence to engage senior internal and external counterparts
- Fluent Korean and English required
- Advanced Excel and PowerPoint skills