Real Estate Fund Portfolio Analyst

M & G Plc

Singapore

On-site

SGD 60,000 - 90,000

Full time

6 days ago
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Job summary

M & G Plc seeks a finance-focused professional to support portfolio reporting and analysis for a global real estate mandate (US/Europe/Asia Pacific). You will assist the Fund Manager and Portfolio Manager in achieving the fund’s objectives.

You will coordinate with internal and external stakeholders, maintain the portfolio database, and help with ESG metrics, performance analysis, and reporting cycles.

Qualifications

  • Bachelor’s degree in Real Estate or Finance required
  • 1–3 years of relevant experience is advantageous
  • Strong attention to detail and reliability
  • Self-motivated team player, well organized
  • Effective written and verbal communication across functions
  • Curious, open-minded, able to learn quickly
  • Experience with Excel cash flow modeling is a plus

Responsibilities

  • Maintain and update portfolio database and deliver monthly/quarterly reports to stakeholders
  • Monitor and analyze fund performance including hold/sell decisions
  • Support reporting for direct and indirect real estate investments; extract key metrics
  • Monitor portfolio performance and ESG metrics aligned to investment strategy
  • Coordinate with internal/external partners during transactions and reporting cycles

Skills

Portfolio reporting
Data management
Stakeholder coordination
Analytical skills
Excel
Communication

Education

Bachelor’s degree in Real Estate or Finance

Tools

Excel (cash flow modeling)

Job description

M & G Plc seeks a finance-focused professional to support portfolio reporting and analysis for a global real estate mandate (US/Europe/Asia Pacific). You will assist the Fund Manager and Portfolio Manager in achieving the fund’s objectives.

You will coordinate with internal and external stakeholders, maintain the portfolio database, and help with ESG metrics, performance analysis, and reporting cycles.

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