Analyst, Asset Management (Based in Chicago)
Headquartered in Singapore, Mapletree is a global real estate development, investment, capital and property management company committed to sustainability. Its strategic focus is to invest in markets and real estate sectors with good growth potential. The Group manages three Singapore-listed real estate investment trusts (“REITs”) and nine private equity real estate funds, holding a diverse portfolio of assets in Asia Pacific, Europe, the United Kingdom, and the United States. As at 31 March 2024, Mapletree owns and manages S$77.5 billion of office, retail, logistics, industrial, data centre, residential, and student accommodation properties across 13 global markets.
About the role
You will be responsible for formulating and executing asset management strategies and plans for the real estate portfolio, including marketing strategies to optimize income and realize the highest value of assets.
Responsibilities
- Prepare and manage annual budgets and reports covering financial performance, leasing status, and rental collection.
- Track fund performance (NOI and Distributable Income) against fund underwriting and perform scenario analysis on fund projections.
- Assist with divestment/acquisition initiatives, including cash flow analysis and managing impact to fund distributions.
- Manage Argus portfolio files and update revenue, operating, and non-operating expenses to produce accurate performance analyses.
- Gather market intelligence and collate global market/industry information to ensure competitiveness of the Company’s products and services.
- Assist with financing-related processes and coordinate with the Treasury team regarding loan pools and optimal cash flow for capital requirements.
- Support fund exit evaluation and work with the US investment team to build IPO REIT models under various scenarios.
- Prepare investor reports, address investor questions, and support IC meetings.
- Assist with the annual valuation process.
Requirements
- Degree in Real Estate, Building, Business, Finance, Engineering, or equivalent. Working knowledge of Accounting preferred.
- 1+ years’ experience in asset management or portfolio management with good knowledge of industrial markets.
- Strong team player with initiative, hands-on approach, resourcefulness, and strong communication/interpersonal skills.
- Ability to work independently in a fast-paced environment, manage multiple workflows, and meet deadlines.
- Deep experience with Excel and PowerPoint.
- Experience with Argus and MRI is an advantage.
- Ability to be in the office 4 days a week.
Pay
The annual base compensation range for this role is $75,000 – $85,000. Compensation offers consider factors such as work experience, industry expertise, skills, training, certifications, and market/organizational factors. Candidates in other locations will be subject to the pay range associated with that location. In addition to salary, eligible candidates may receive a discretionary bonus and a competitive employee benefits package.