Analyst, Portfolio Management, Europe (based in Amsterdam)

27-05-2025
Marktconform
Junior, Medior
Amsterdam
The role will also involve working closely with the asset and property management teams on portfolio / fund reporting, budgeting and asset management plans (including marketing strategies) to optimise income and realise the highest value of our assets.

The Role

You will be involved in the execution of portfolio management strategies for a portfolio of logistics real estate in Europe. The role will also involve working closely with the asset and property management teams on portfolio / fund reporting, budgeting and asset management plans (including marketing strategies) to optimise income and realise the highest value of our assets. You will also assist in the preparation and maintenance of financial variance analysis reports, prepare and monitor budgets, and assist with financial modelling at the asset and portfolio levels. Other responsibilities include managing market intelligence and collating global market / industry information to ensure competitiveness of the Company’s products and services and ad hoc duties as required.

Job Responsibilities

  • Work closely with onshore asset and property management teams as well as corporate units in Singapore on portfolio reporting, budgeting, forecasting, leasing and capex plans to realise the highest value of our assets.
  • Assist in coordinating the reporting process for relevant fund(s)
  • Assist in the preparation and maintenance of property databases and portfolio reports in a timely and accurate manner.
  • Perform financial modelling and variance analyses to monitor the portfolio’s financial and operational performance against budget and forecast figures.
  • Manage market intelligence and collate global market / industry information to ensure competitiveness of the Company’s products and services.
  • Work closely with, and provide support for, the other analysts in the team (Investment Management and Asset Management).
  • Various ad-hoc tasks not mentioned above may be required from time to time.

Job Requirements

  • A degree in Accountancy, Finance or its equivalent.
  • At least 1-2 years’ relevant experience (preferably in the real estate industry).
  • Advanced financial modeling and analytical skills.
  • Hands-on, resourceful, a good team player, and possess a high level of initiative and the ability to work independently in a fast-paced environment.
  • Strong communication and interpersonal skills with good business and financial acumen.
  • A good command of English to liaise with colleagues and partners across Europe and Headquarters in Singapore.

Solliciteren

Please send your application for Analyst, Portfolio Management, Europe (based in Amsterdam) at Mapletree in Amsterdam via the button.

Direct solliciteren

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