Key Responsibilities
1. Financial Modelling & Investment Analysis
- Build and maintain development and acquisition financial models (DCF, IRR, NPV, equity waterfall, sensitivity analysis).
- Analyse GDV, construction costs, land cost, financing costs, exit values and cash-flow timing.
- Evaluate different ownership and investment structures (direct holding, SPV, JV, fund structures).
- Stress-test assumptions under various market, interest-rate and sales-velocity scenarios.
2. Singapore Property Market Analysis
- Conduct micro-market research by district, sub-market, and asset class (residential, industrial, commercial).
- Track URA data, transaction trends, price indices, rental yields, take-up rates, and supply pipelines.
- Assess the impact of government policies (ABSD, BSD, SSD, LTV limits, cooling measures, GLS/IGLS supply).
- Monitor URA Master Plan and infrastructure developments affecting asset values.
3. Deal Evaluation & Due Diligence
- Support feasibility studies for new developments, redevelopment and value-add opportunities.
- Review key due-diligence inputs: valuation reports, cost plans, sales assumptions and consultants’ reports.
- Assess project risks (planning, construction, sales, financing, regulatory) and propose mitigation strategies.
4. Investment Committee & Stakeholder Support
- Prepare investment memoranda, IC papers, and executive summaries for senior management and investors.
- Translate complex financial outputs into clear insights and recommendations.
5. Portfolio & Performance Monitoring
- Track actual vs forecast performance for live projects and stabilised assets.
- Analyse deviations in costs, sales velocity, pricing and cash flows.
- Support periodic asset revaluation and portfolio reporting.
Requirements
Technical & Analytical
- Strong proficiency in Excel financial modelling (advanced formulas, scenario analysis).
- Solid understanding of real estate finance metrics: IRR, NPV, DSCR, LTV, ICR, GDV.
- Familiarity with Singapore property regulations and tax framework.
- Ability to interpret market data and translate it into investment insights.
Professional Background
- Degree in Finance, Real Estate, Economics, Accounting, or related discipline.
- 2–5 years of experience in real estate investment, development, advisory, valuation, or fund management.
- Experience covering Singapore property is strongly preferred.
Soft Skills
- High attention to detail with strong commercial judgement.
- Clear written and verbal communication skills (able to brief senior stakeholders).
- Ability to work across multiple projects and tight timelines.
- Strong ethics and professionalism in handling confidential information.