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Vice President Asset & Portfolio Management

6-10 Years
  • Posted 2 hours ago
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Job Description

Company: RealVantage

Location: Singapore (Regional role with APAC and global exposure)

Reporting to: CEO / Head of Investments

Role Type: Full-time

About RealVantage

Founded in 2019 and headquartered in Singapore, RealVantage is one of the world's leading technology-enabled private real estate investment platforms, serving over 10,000 individual investors, family offices, institutions, and pension funds.

Licensed by the Monetary Authority of Singapore under a Capital Markets Services Licence (Licence No. 101156), RealVantage is driven by a clear mission: to simplify global real estate investing and unlock access to institutional-quality investment opportunities.

RealVantage partners with more than 20 leading institutional sponsors across developed markets including Australia, Singapore, South Korea, Hong Kong, the United Kingdom, the United States and Europe. The platform invests across a broad range of sectors including logistics, residential, office, hospitality, healthcare, student accommodation and alternative real estate, through both equity and private credit strategies.

As our investment portfolio continues to expand, we are seeking an experienced Vice President – Asset & Portfolio Management to oversee portfolio performance, drive value creation and deliver institutional-grade portfolio management across our global investments.

Role Overview

The Vice President – Asset & Portfolio Management is responsible for maximizing value across RealVantage's global investment portfolio from acquisition through realization.

Working closely with the Investment Team, Sponsors, Operating Partners, Finance, Investor Relations and senior management, this individual will oversee asset performance, monitor execution against business plans, identify risks and opportunities, and help deliver superior investment outcomes for investors.

The role combines strategic portfolio oversight with sponsor management and requires strong commercial judgement, financial analysis capabilities, stakeholder management skills and institutional investment experience.

Key Responsibilities

1. Portfolio Management & Performance

Lead the ongoing management of RealVantage's diversified global portfolio across multiple geographies, sectors and investment strategies.

Responsibilities include:

  • Monitor investment performance against underwriting assumptions and approved business plans.
  • Review operating, leasing and financial performance across all investments.
  • Identify risks, opportunities and value enhancement initiatives.
  • Drive corrective actions with sponsors and operating partners where necessary.
  • Track portfolio KPIs including occupancy, leasing, NOI, valuation movements, debt metrics, distributions and IRR performance.
  • Ensure investments continue to meet targeted return objectives and investment theses.

2. Asset Management

Work closely with operating partners and sponsors to maximize asset value throughout the investment lifecycle.

Responsibilities include:

  • Review and challenge annual business plans and operating budgets.
  • Monitor leasing progress, tenant retention and capital expenditure programmes.
  • Evaluate refinancing opportunities and capital structure optimisation.
  • Monitor development and construction progress where applicable.
  • Review major operating decisions including acquisitions, disposals, financing and significant capital expenditures.
  • Support exit planning and disposition strategies to maximize investor returns.

3. Sponsor & Operating Partner Management

Build and maintain strong relationships with RealVantage's network of institutional sponsors and operating partners.

Responsibilities include:

  • Conduct regular asset review meetings with sponsors.
  • Monitor sponsor execution against agreed business plans.
  • Challenge assumptions where necessary and ensure accountability.
  • Resolve issues relating to project execution, reporting and governance.
  • Evaluate sponsor performance and contribute to future sponsor selection and due diligence.

4. Portfolio Analytics & Reporting

Develop and maintain institutional-quality portfolio reporting that provides management, investors and governance committees with timely, accurate and actionable insights into portfolio performance.

Responsibilities include:

  • Lead the preparation and delivery of comprehensive quarterly portfolio reports covering asset performance, portfolio composition, financial metrics, market developments, key risks and strategic initiatives across the investment portfolio.
  • Produce asset-level and portfolio-level performance reports for Senior Management, the Investment Committee and the Board.
  • Monitor investment returns, cash flows, distributions, valuations, debt metrics and business plan execution against underwriting assumptions.
  • Analyse portfolio performance across geographies, sectors, investment strategies and sponsors, identifying key drivers of performance and areas requiring management attention.
  • Coordinate with sponsors, operating partners, finance teams, valuers and fund administrators to ensure timely and accurate reporting.
  • Develop portfolio dashboards and KPIs that provide visibility on leasing, occupancy, NOI, capex, financing, ESG metrics (where applicable) and exit progress.
  • Prepare investor-ready portfolio updates and support quarterly reporting for institutional investors, family offices and private wealth clients.
  • Recommend enhancements to reporting processes, portfolio analytics and business intelligence capabilities consistent with institutional best practices.

5. Investment Committee & Governance

Provide independent portfolio oversight and recommendations to support investment governance.

Responsibilities include:

  • Present portfolio and asset updates to the Investment Committee.
  • Highlight emerging risks and recommend mitigation strategies.
  • Review investment amendments, restructurings, refinancing proposals and business plan changes.
  • Provide recommendations on hold, refinance or exit decisions.
  • Support Board reporting with concise, data-driven investment analysis.

6. Portfolio Strategy & Capital Allocation

Partner with senior management on portfolio construction and long-term investment strategy.

Responsibilities include:

  • Review portfolio diversification across sectors, geographies and strategies.
  • Monitor macroeconomic developments impacting portfolio performance.
  • Identify opportunities for portfolio optimisation and value creation.
  • Contribute to investment strategy discussions and future pipeline planning.
  • Support portfolio-level stress testing and scenario analysis.
  • Provide market intelligence and sector insights to support future investment decisions.

Requirements

Experience

  • Bachelor's degree in Real Estate, Finance, Business, Economics or a related discipline.
  • CFA, CAIA, MBA or Master's degree would be advantageous.
  • 6–10 years of relevant experience in institutional real estate investment, asset management or private equity real estate.
  • Proven experience managing multi-country real estate portfolios.
  • Strong understanding of both equity and private credit investments.
  • Experience working with institutional sponsors, developers and operating partners.
  • Exposure across multiple asset classes including logistics, residential, office, hospitality, healthcare and alternative real estate is preferred.

Technical Skills

  • Strong financial modelling and investment analysis capabilities.
  • Deep understanding of asset management, valuations and portfolio analytics.
  • Experience with debt structures, refinancing and capital markets.
  • Ability to interpret financial statements and operating metrics.
  • Advanced Excel and PowerPoint skills.
  • Excellent report writing and presentation capabilities.

Leadership Competencies

The successful candidate will demonstrate:

  • Strong commercial judgement and investment discipline.
  • Strategic thinking combined with execution excellence.
  • Excellent stakeholder management and relationship-building skills.
  • Ability to influence without direct authority.
  • Strong analytical and problem-solving capabilities.
  • High attention to detail and organisational skills.
  • Ability to manage multiple investments across jurisdictions.
  • Ability to thrive in a fast-paced, entrepreneurial environment.

What You'll Gain

  • Opportunity to oversee a diversified international real estate investment portfolio.
  • Exposure to leading institutional sponsors and investment partners across multiple markets.
  • Work alongside an experienced investment team with significant cross-border transaction flow.
  • Influence investment performance throughout the entire asset lifecycle.
  • Regional and international exposure with excellent career development opportunities.
  • Competitive remuneration package, including long-term incentive participation

Why Join RealVantage

RealVantage is building one of Asia's leading institutional private real estate investment platforms. As we continue to expand our discretionary funds, private credit strategies and international investment capabilities, this role offers the opportunity to play a key leadership position in shaping and managing a growing global portfolio.

You will work alongside experienced investment professionals, interact with leading institutional sponsors worldwide, and help deliver attractive long-term outcomes for our investors.

Candidates are encouraged to create a RealVantage account and explore our platform to better understand our investment philosophy, portfolio and business model before applying.

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About Company

Job ID: 151755969