Japan Multifamily
Private Markets
Location: Singapore
The Company
The organisation is a well-established and highly successful asset manager with a concentrated focus on the Japan multifamily sector and has completed transactions exceeding JP¥70bn. As it continues to cultivate institutional investor support, its fund management capability will be located in Singapore. Led by an internationally-experienced Fund Manager, the unit will be pivotal in driving the longer-term growth and success of the company. There is an immediate requirement to bolster the team with the appointment of an Analyst.
The Position
Based in Singapore, while reporting to the Head of Fund Management, the appointed individual will enjoy a multifaceted role focused on fund management, data analysis, and portfolio analysis/management, while also providing capital-raising support. The latter will include investor reporting as well as ongoing market research to identify prospective investors and cultivate client relationships. As an analyst, the role will help evaluate investment decision-making in the form of data analysis – including analysis of financial models, investment structures, and risk assessments - and preparation of market reports, ongoing tracking of investment performance across its Japan investments, and subsequent reporting to investors. Client liaison will include managing requests and responding to DDQs while coordinating all forms of communication.
The Person
Interested candidates will offer a good Degree in Real Estate/Finance/Economics and have around 1-2 years of relevant experience supporting fund and investment management within a PERE environment. A strong interest in building a career within Fund Management and capital-raising/investor relationship management will be strongly preferred.