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KEY RESPONSIBILITIES
1. Strategy & Governance
. Develop and implement multi-year investment strategies for funds and development projects.
. Chair the Investment Committee (IC), ensuring robust decision-making and documentation.
. Establish portfolio construction guidelines and risk management frameworks.
2. Deal Sourcing, Underwriting & Execution
. Source and evaluate investment opportunities in Singapore and selected regional markets.
. Lead financial modelling, feasibility studies, and due diligence (technical, legal, tax, ESG).
. Negotiate and close transactions, including acquisitions, joint ventures, and financing.
3. Portfolio & Asset Management
. Monitor portfolio performance against KPIs (IRR, MOIC, cash yield).
. Oversee asset management initiatives, refinancing, and exit strategies.
. Conduct quarterly portfolio reviews and investor reporting.
4. Real Estate Development Oversight
. Approve development briefs, budgets, and procurement strategies.
. Monitor project progress from acquisition through TOP/CSC, ensuring cost and schedule control.
. Resolve key project risks and claims in collaboration with the PMO.
5. Capital Formation & Investor Relations
. Partner with BD/IR to structure and market fund offerings.
. Engage with institutional and accredited investors lead fundraising efforts.
. Maintain transparent investor communications and reporting.
6. Risk, Compliance & MAS Interface
. Ensure compliance with MAS regulations, AML/CFT requirements, and internal policies.
. Oversee IC charter, valuation policy, and conflict-of-interest management.
. Prepare timely regulatory and board submissions.
7. Leadership & Team Development
. Build and mentor a high-performing investment team.
. Standardise investment processes, templates, and reporting frameworks.
REQUIREMENTS
. Minimum 10 years experience in Investment Management, portfolio analysis, financial strategy, asset management, private equity, development or other financial service roles.
. Expertise in various investment areas, such as fund investment and alternatives.
. Degree in Real Estate, Finance, Economics, or Engineering MBA/CFA/CAIA preferred.
. Must have experience in Public Markets for 5 years at least in research and structuring funds.
. To be RO for CMS licence application.
. Strategic investment judgement and risk management.
. Strong negotiation and execution skills.
. Deep understanding of development lifecycle and construction risk.
. Excellent leadership and stakeholder management abilities.
. Must have real estate experience.
Working hours:
Mon to Fri, 9:30am to 6:30pm
Date Posted: 02/09/2025
Job ID: 125276897