REAL ESTATE PORTFOLIO MANAGER (100% REMOTE)

UBQ

Mexico

Hybrid

PHP 7,500,000 - 13,125,000

Full time

14 days+
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Job summary

UBQ seeks an experienced Real Estate Portfolio Manager to collaborate with the Fund’s Directors in guiding a global real estate investment portfolio. The role requires deep expertise in Central and Latin American markets, with a strong focus on hospitality and development projects to ensure cost efficiency, quality, and value creation across holdings.

You will lead investment evaluation, independent due diligence, and performance monitoring, preparing investment memos for the Investment

Qualifications

  • Proven ability to conduct fundamental analysis and valuation of investments.
  • Experience performing independent due diligence across multiple investment vehicles.
  • Assess business models, unit economics, competitive positioning, regulatory environment, and technology viability.

Responsibilities

  • Conduct investment evaluation and due diligence for prospective investments across deal structures.
  • Maintain ongoing portfolio monitoring with KPI tracking and performance analyses.
  • Identify underperforming positions and recommend corrective actions or divestment strategies.

Skills

Fundamental analysis
Valuation
Due diligence
Financial modeling
Strategic thinking

Job description

We are seeking an experienced Real Estate Portfolio Manager to collaborate closely with the Fund's Directors in managing our real estate investment portfolio. The ideal candidate brings deep expertise in the Central and Latin American markets, combined with a strong understanding of hospitality and development projects on a global scale. This role demands both financial acumen and technical construction knowledge to ensure cost efficiency, quality, and value creation across all holdings.

Key Responsibilities
Investment Evaluation & Due Diligence
  • Conduct thorough fundamental analysis and valuation of prospective investments across a range of deal structures.

  • Perform independent due diligence on investment memos originating from various investment vehicles, including financial, operational, market, and technological assessments.

  • Evaluate business models, unit economics, competitive positioning, regulatory environment, and technology viability—particularly for blockchain-enabled fintech solutions.

  • Prepare comprehensive investment recommendation memoranda with clear rationale, risk assessment, and exit strategy for submission to the Investment Committee.

Portfolio Monitoring & Performance Analysis
  • Maintain an ongoing review of the existing portfolio, tracking key performance indicators, financial metrics, and milestone delivery.

  • Produce independent performance analyses on a regular cadence, highlighting deviations from projections, value-creation drivers, and areas of concern.

  • Identify underperforming positions and recommend corrective actions or divestment strategies to the Investment Committee.

Market & Sector Intelligence
  • Track developments in the global and regional fintech/blockchain landscape, identifying emerging trends, regulatory shifts, and new investment opportunities.

  • Build and maintain financial models to support forward-looking sce

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