Strategic Real Estate Portfolio Manager

The Great Eastern Life Assurance Company Limited

Singapore

On-site

SGD 120,000 - 180,000

Full time

14 days+
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Job summary

The Great Eastern Life Assurance Company Limited is seeking a highly motivated real estate investment professional to assist the Head of Real Estate in evaluating, executing, and managing a global real estate and lending portfolio. The role focuses on underwriting, due diligence, documentation, onboarding, and financial reporting to help achieve target returns.

You will actively manage the assigned portfolio, review performance, assess risks, and coordinate with external managers and partners

Qualifications

  • 3+ years of relevant industry experience in real estate private equity, debt, or asset management.
  • Tertiary qualification and/or professional certifications such as CPA or CFA.
  • Strong interest in investment management and private assets/alternatives (Real Assets, Direct Lending, Structured Credits).
  • Ability to work independently or with minimal supervision.
  • Good written and communication skills.
  • Competency in Excel, PowerPoint and other office applications.
  • Ability to interact well with internal and external stakeholders.

Responsibilities

  • Assist in implementing the real estate portfolio strategy across funds and co-investments, supporting underwriting, due diligence, documentation, onboarding and financial reporting.
  • Actively manage assigned portfolio with ongoing performance review, risk assessment, and engagement with external managers and partners.
  • Ensure investment processes comply with internal policies and procedures.

Skills

Communication skills
Excel
PowerPoint
Stakeholder management

Education

CPA
CFA

Tools

Excel
PowerPoint

Job description

The Great Eastern Life Assurance Company Limited is seeking a highly motivated real estate investment professional to assist the Head of Real Estate in evaluating, executing, and managing a global real estate and lending portfolio. The role focuses on underwriting, due diligence, documentation, onboarding, and financial reporting to help achieve target returns.

You will actively manage the assigned portfolio, review performance, assess risks, and coordinate with external managers and partners

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