Job description
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Primary Responsisbilities
- Constructing and modelling cash-flow and revenue forecasting
- Portfolio metrics and assumption modelling
- Drive financial analysis on new and existing real estate projects
- Data and scenario analysis
- Help deliver the annual portfolio strategy
Additional Responsibilities
- Assist in delivering the leasing strategy
- Appoint project managers, contractors and other third parties
- Appoint letting, maintenance and admin agents
- Advise on redevelopment potential
- Assist with client relationships
- Liaise with relevant entities for permits and approvals
- Enhance income and capital values value engineering and feasibility studies
- Evaluate potential for space reconfiguration
- Oversee refurbishment and redevelopment and re-leasing
- Develop annual portfolio strategy
- Facilitate and advise during sales negotiations
Experience Requirements
- 18 months minimum real estate experience
- Experience in a mutual, hedge fund or other institution
- Specific experience in portfolio and cash-flow modelling
- Bachelors Degree in a relevant discipline