
Director, Portfolio Management
6 days ago
JOB DESCRIPTION
Job Purpose
The key objective of this role will be to contribute to the delivery of maximizing risk-adjusted investment returns for the Keppel Education Asset Funds including parallel funds and co-investment vehicles (KEAF" or the Funds").
The successful candidate will possess superior analytical skills, commercial acumen and a high level of strategic thinking capacity. In addition, he or she is expected to have strong analytical and written (as well as verbal) presentation skills. The candidate will also work closely with other members in the KEAF team and the wider Keppel Fund Management & Investment team.
Key Responsibilities
Portfolio Management
- Oversee portfolio financial modelling and analysis work required for regular fund reporting purposes and special situation analyses such as building financial models in support of new private fund launch, REIT, etc
- Work with the asset management team to develop and execute portfolio strategy, business plan, and budget under the Funds' mandate; actively monitor the Funds' liquidity, control fund expenses, and maximize investor distributions and returns.
- Involve in 3rd party private capital or fund-raising including preparation of marketing materials, addressing investor due diligence questions, negotiations, and supporting the fund documentation process.
- Maintain and develop good relationships with existing and potential investors.
- Maintain centralized oversight of Funds' performance including financial model for the Funds, investment performance monitoring and analysis, carry interest calculations, investors' reporting, governance and returns bench marking, etc.
- Maintain oversight on all compliance matters related to the Funds for both internal and external requirements.
- Participate in investment and asset management process including evaluation of the potential acquisitions and divestment opportunities by giving the portfolio perspectives.
- Work with the asset management and investment team to implement ESG initiatives, monitor the progress of ESG initiatives together with the asset management team and oversee ESG implementation for the Funds. Oversee the submission of GRESB and explore ways to improve scores.
- Be able to contribute to KEAF's investment and asset management strategy through understanding all the fund documentations well, have a good understanding of the education market by reading on research and market intelligence, keeping current on competitive and regulatory landscape and best practices.
- Responsible for the new and on-going monthly / quarterly information disclosure to investor and ensure timely delivery of the same.
- Responsible for all communication with investors including organizing meetings, calls and building good relationships with the investors. Work with client management team to organize annual investors' meeting etc.
Asset Management
- Develop and recommend strategies to maximize performance and enhance assets under management
- Oversee the preparation of budgets, periodic forecasts and asset plan
- Review the actual performance of portfolio assets against budget and strategies. Implement initiatives and solutions to improve asset performance with objective to outperform underwriting
- Oversee the progress of development and asset enhancement initiatives, ensuring adherence to budgetary constraints and AEI timelines. Implement catch up program if necessary.
- Prepare quarterly reports and related information for investors' reporting
- Collate data for sustainability reporting, safety performance and other green initiatives
- Do hold sell analysis and oversee the divestment of assets with team. Work with investment team (if necessary) on the divestment
- Support portfolio management team in information related to assets under management
JOB REQUIREMENTS
- Masters / Degree in Real Estate / Finance / Business Administration from leading university
- Minimum 10 years of relevant experience with real estate funds in investment or asset management role with board knowledge and extensive networks in the real estate investment sectors for the Asia Pacific region.
- Possess sharp analytical, research, problem solving skills and communication skills.
- Demonstrate ability to lead and negotiate transactions. Proven track record in dealing with international institutional investors will be viewed favorably.
- A self-motivated team player who is meticulous, detailed oriented, organized and able to learn quickly, independently with strong analytical skills;
- Proficient with financial modelling, market and industry research in infrastructure, real estate or other private equity assets;
- A strong communicator with excellent stakeholder management skill and ability to interact well with different functions and levels.
- Ability to multi-task and work in fast pace dynamic environment
BUSINESS SEGMENT
Real Estate
PLATFORM
Fund Management
ASSET_MANAGEMENT
-
Director, Portfolio Management
2 days ago
Singapore FENGHE FUND MANAGEMENT PTE. LTD. Full time**About FengHe Fund Management** **Position Summary**: We are looking for a Director, Portfolio Management to join our investment team and to be based in Singapore. **Responsibilities include**: - Conduct in-depth fundamental research on coverage companies and industries - Build and maintain detailed financial and valuation models - Report your findings...
-
Director, Portfolio Management
2 weeks ago
Singapore Keppel (Fund Management & Investment) Full timeJob Purpose The key objective of this role will be to contribute to the delivery of maximizing risk-adjusted investment returns for the Keppel Education Asset Funds including parallel funds and co-investment vehicles ("KEAF" or the "Funds"). Key Responsibilities Portfolio Management: Oversee portfolio financial modelling and analysis work required for...
-
Director, Portfolio Management
2 weeks ago
Singapore Keppel (Fund Management & Investment) Full timeJob Purpose The key objective of this role will be to contribute to the delivery of maximizing risk-adjusted investment returns for the Keppel Education Asset Funds including parallel funds and co-investment vehicles ("KEAF" or the "Funds"). Key Responsibilities Portfolio Management: Oversee portfolio financial modelling and analysis work required for...
-
Director, Portfolio Manager
3 weeks ago
Singapore UOB Full timeOverview Join to apply for the Director, Portfolio Manager role at UOB . About UOB United Overseas
-
Director, Portfolio Manager
6 days ago
Singapore UOB ASSET MANAGEMENT LTD Full timeJob Responsibilities Develop, implement, and manage equity investment strategies focused on Asian markets, with an emphasis on generating consistent risk-adjusted returns. Conduct in-depth research and analysis of Asian equity markets, including macroeconomic trends, sector developments, and company-specific opportunities, particularly in India ...
-
Globalize Portfolio Director
4 days ago
Singapore Keywords Studios Plc. Full timeKeywords Studios provides creative services to the global video games industry and beyond through an end-to-end platform, supercharged by its own technology. Keywords Studios’ goal is to help clients imagine more by partnering in bringing to life digital content that entertains, connects, and educates people worldwide. Established in 1998, Keywords...
-
Globalize Portfolio Director
4 days ago
Singapore Keywords Studios Full timeJoin to apply for the Globalize Portfolio Director role at Keywords Studios Keywords Studios provides creative services to the global video games industry and beyond through an end-to-end platform, supercharged by its own technology. Keywords Studios' goal is to help clients imagine more by partnering in bringing to life digital content that entertains,...
-
Director, Equity Portfolio Manager
2 weeks ago
Singapore PerennialHR Full timeDirect message the job poster from PerennialHR Our client is an International Private Bank seeking a seasoned Equity Portfolio Manager to join their Asia team, based in Singapore. Reporting to the Head of Portfolio Management Asia, the successful candidate will lead the bank's global equities strategies, manage discretionary portfolios, and contribute to...
-
Portfolio Manager
6 days ago
Singapore TERNARY FUND MANAGEMENT PRIVATE LIMITED Full timeJob Description We are recruiting for a Portfolio Manager to lead the sourcing, management, and marketing of a new private investment fund that aims to deliver long-term capital growth and income for institutional investors, family offices, and other sophisticated market participants by investing directly or through third-party managed funds across a diverse...
-
Portfolio Manager
1 week ago
Singapore TERNARY FUND MANAGEMENT PRIVATE LIMITED Full timeJob Description We are recruiting for a Portfolio Manager to lead the sourcing, management, and marketing of a new private investment fund that aims to deliver long-term capital growth and income for institutional investors, family offices, and other sophisticated market participants by investing directly or through third-party managed funds across a...