【外資系不動産ファンド】Associate, Portfolio Manager

◎Portfolio analytics: portfolio return forecasting, portfolio stratification, liquidity analysis, investment criteria compliance
◎Portfolio monitoring: reviewing sponsor reporting, liaising with deal teams and asset management to understand latest deal developments
◎Update and run portfolio models
◎Preparing portfolio reporting (both internally and to third parties)
◎Monitoring portfolio FX exposure and coordinating with portfolio management, servicing, asset management and trade management to implement FX strategy
◎Aiding in credit analysis, drafting/reviewing credit applications, transaction due diligence, deal documentation and closing processes




Required Skills:
◎Superior written and verbal communication skills in both English and Japanese
◎Superior modelling, analytical and problem‐solving skills
◎3-5 years’ experience working in finance and a strong understanding of accounting, debt structures and financial products including bonds, currencies, interest rates and market indexes

Desired Skills:
◎Background working in commercial real estate