Senior Manager Investment Analysis – Real Estate
Job Description
Our Client
Is a UAE government owned energy company, a regional leader and a major international player in large scale energy projects
Your Responsibilities
- To contribute to Portfolio Management activities across the organization for new opportunities and existing real estate assets within a sustainable urban real estate investment portfolio by developing investment cases and identifying and mitigating financial, technical, legal and operational risks through quantitative and qualitative best practices.
- Ensure the development of investment cases for proposal to the Board and relevant committees and stakeholders:
- Conduct detailed assessments of financial modelling, including analysis of historic and projected cash flows and measures of return and valuation (IRR and NPV)
- Identify risks and quantify potential impact on returns
- Advise on minimum required returns /discount rates
- Review of capital structures
- Measure impact on portfolio value creation and returns
- Develop investment exit scenarios with asset managers to optimize value, form of consideration and deal structure
- Work with asset teams when identifying financing needs and project finance solutions
- Liaise with various technical teams when reviewing detailed forecast of cash flows and financial statements
- Review reasonableness of assumptions and modelling, and ensure models accurately reflect terms and conditions presented within investment cases
- Evaluate financial structures for all investments proposed in investment cases
- Perform semi-annual asset and corporate level valuation assessment
- Propose asset and portfolio level value enhancement and optimization opportunities
- Preserve existing and future value of investments:
- Engage with asset managers to identify risks and quantify its impact (Gross Value of Risk) against investment valuations and returns
- Discuss and challenge risk treatment plans set by asset managers
- Adjust impact for potential mitigations and probability of occurrence through Probability
- Identify significant risks at portfolio, divisional and asset levels and ensure proper mitigation plans are implemented
- As and when required, manage relationships/negotiations with relevant internal and external in order to ensure the negotiation and agreement of favourable deals and agreements that safeguard the companies best interests while ensuring the delivery of necessary needs/goals
- Ensure that all relevant reports are completed in a comprehensive, accurate and timely manner, and comply with international principles of corporate governance and standards, and shareholder requirements
Your Qualifications
- Bachelor's degree of Arts or Science from a top-tier institution
- Master's degree in business, economics, climate / engineering, finance, mathematics or any other related field from a top-tier institution is an asset
- 8-10 years of practical experience in reputable national or international organizations (investment bank, hedge-fund, real estate company etc.) gaining up to date knowledge of real estate development in general and sustainable real estate development in specific
- Proven investment and deal structuring track record
- Experience in publishing investment related reports
Halian Group
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Job Details
Employment Types:
Full time
Industry:
IT / Computers – Software
Function:
Finance & Accounts
Roles:
Finance Manager
Skills:
Senior Manager Investment Analysis – Real Estate