外資系不動産でのマーケット・リスク・マネジャー
求人ID |
95662 |
職種 |
Real Estate Market Risk Manager |
ポジション |
Manager |
仕事内容 |
Market Risk Manager within risk management department focuses on monitoring, reporting, and modeling market risk of our portfolio throughout Asia Pacific. The role requires extensive teamwork among country risk managers (Japan, Australia and Korea), US HQ risk members, and Asia Pacific risk members, especially credit risk manager and operational risk manager. 1.Model, monitor and report on Asia Pacific portfolio’s market risk on a quarterly basis (key factors include rent, vacancy, new supply, absorption, yields, cap rates, NOI, price as well as other economic drivers) 2.Generate analytical reports on Asia Pacific market risk 3.Identify key sources of market risk at the asset level and develop mitigating or portfolio management strategies 4.Develop and document valuation assumptions, on a quarterly basis, to be used by asset managers 5.Coordinate valuation guidelines/policies among three major countries in Asia Pacific and the US Head Office 6.Support underwriting of new investments and ensure that robust market risk controls are maintained 7.Maintain accurate and timely risk management information system |
必要スキル |
1.Minimum of seven years in real estate market research experience in Asia, especially Japan 2.Must have hands on and in-depth understanding of basic real estate market risk management tools and concepts 3.Must have proven capability to conduct quantitative analyses, including statistical and forecasting 4.Excellent bilingual communication skills (English and Japanese) 5.Preferred degrees include Business, Statistics, Mathematics 6.Prefer MBA or Masters degree in an analytic field |
就業場所 |
東京 |
年収イメージ |
応相談 |
就業形態 |
正社員 |
企業名 |
外資系不動産投資企業 |
企業概要 |
幅広い事業を100カ国以上で展開する世界最大級のグローバル企業の一員であり、同グループにおいて最大の資産規模を誇る法人向け金融事業部門コア・ビジネスの一角を成しています。 |
企業PR |
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業務カテゴリ |
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組織カテゴリ |
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備考 |
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