|仕事内容||Based in Tokyo, the role will be responsible for portfolio management and growing
the Separate Accounts business for Our company. This role includes portfolio management
and investor reporting, formulating and pitching investment strategies, and
collaborating with Our company’s Acquisitions and Asset Management teams. Since the
team is responsible for Asia Pacific region, the role will cover not only Japan but also
other Asia countries where Our company is active.
●Portfolio Strategic/Financial Plan
Prepare long range financial forecast that outlines capital sources (e.g.
investor capital commitments, cash generated through investments) and uses
as required to support:
o New investments;
o Capital improvements;
o Dividends/return of capital.
Deliver above information to investors in the form of presentation.
Develop and execute capitalization structure that ensures use of debt
supports portfolio financial strategy.
Ensure plan allows portfolio to address its own financial requirements on a
stand alone basis (i.e. the fund is self sufficient and additional capital calls
from the investors, beyond the initial commitment, are not needed).
For all portfolios, create consolidated cash flow statements that reflects roll-up
of individual property cash flows.
Research, formulate and present investment strategies that may range by
asset class and geography. Be resourceful in procuring market information
and creative in identifying potential strategies.
Ensure acquisitions teams understand the investment criteria that will guide
decisions regarding new investments.
o Continually assist teams in reviewing potential acquisitions, including
Review all proposed acquisitions to make sure they meet the defined criteria
for new investments.
o Ensure pricing is appropriate within the context of the prevailing
o Evaluate each deal to determine what impact the investment will have
on considerations like portfolio level returns, use of cash, etc.
o Assume ultimate accountability for the performance of investments.
●Review of Asset Management and Finance Activities
Oversee execution of plans by Asset Managers during the hold period, who in
turn will work with property managers to execute property level activities.
Evaluate all assets proposed for sale within the context of defined hold/sell
strategies, and approve as appropriate.
Ensure annual valuations are properly prepared, and evaluated within the
context of the financial outlook for the portfolio.
Oversee that reporting communicated timely to investors and in line with Our company
10+ years of experience in Real Estate Investment Management.
Robust experience in Structured Finance and has decent accounting
Real Estate Acquisition Experience.
Fluent in English
Business level of Japanese (Preferred)
presented by KOTORA