- Jalan PJU 5/1 Petaling Jaya Selangor Malaysia 47810

工作地点
职位描述
任职资格
4–8 years in financial modelling, property investment underwriting, REIT analysis, or real estate investment banking. Candidate from a bank's real estate lending team is welcome to apply.
Proven track record of independently producing investor presentation materials and engaging directly in capital raising or financing discussions — not limited to a back-office or supporting analyst function.
Demonstrates strong financial modelling capability with advanced Excel proficiency. Familiarity with Power BI, AI-driven analytics, or data visualisation tools will be viewed favourably.
Comfortable presenting financial data to senior stakeholders — banks, institutional investors, and C-suite audiences.
Existing banker or institutional investor relationships in the Malaysian property market are a significant advantage and will be reflected in the upper scale of the salary range.
Expected to self-manage priorities, timelines, and deliverables with a high degree of ownership — this is a sole-contributor role embedded within Group Asset Management.
岗位职责
Financial Modelling: Build and maintain the Edgewater project-level financial model — yield analysis, scenario modelling (base, bear, bull), DCF valuation. Updated as leasing data and construction costs firm up.
Investment/Funding Deck & Information Memorandum: Prepare investor and banker presentation materials — project overview, market positioning, financial returns, risk matrix, and use of funds. Maintain and version-control as the project progresses.
Capital Raising Support: Support the GM in active engagement with banks, institutional investors, and PE firms. Prepare Q&A packs, data room materials, and financial due diligence responses. Attend investor meetings as required.
Mall Analytics & KPI Dashboard: As leasing progresses, build the Edgewater performance dashboard — NLA commitments, projected rental income, occupancy productivity benchmarks, and footfall projections. Report monthly to General Manager and Group Managing Director.
Investor & Stakeholder Reporting: Produce periodic investor update reports and GMD briefing materials. Maintain the financial narrative supporting ongoing capital and banking relationships.
Conduct structured monthly financial review sessions covering operator P&L analysis, yield monitoring, and asset performance benchmarking to build Asset Management competency.
好处
SURIAN
0.7 km
MUTIARA DAMANSARA
1.4 km
重要安全守则
申请工作时,切勿提供您的银行或信用卡详细资料。不要转账或完成无关的在线调查问卷。如果您发现可疑内容,请举报此招聘广告。