Vice President – Portfolio Management
Job in
Abu Dhabi, UAE/Dubai
Listed on 2026-02-28
Listing for:
Aldar Properties PJSC
Full Time
position Listed on 2026-02-28
Job specializations:
-
Finance & Banking
Portfolio Manager, Financial Manager, Risk Manager/Analyst, Corporate Finance -
Management
Portfolio Manager, Financial Manager, Risk Manager/Analyst
Job Description & How to Apply Below
JOB PURPOSE
Manage the performance of Aldar’s residential & commercial property portfolio, planning the timing of capital upgrades, with the goal of enhancing value and maximizing return of the portfolio.
ROLES AND RESPONSIBILITIES Market Research- Conduct periodic market research on rental rates to ensure proper setting of internal rates for Aldar residential and commercial portfolio.
- Analyze market conditions and forecast changes in rates and occupancy levels, in conjunction with the Director – Investment Management.
- Monitoring and periodically assessing competitors' assets to forecast any potential risk on demand, rates and asset classes.
- Identify and implement value-add initiatives
- Recommend changes in rental rates based on market conditions.
- Obtain new capabilities and equipment through CAPEX programs
- Conduct development feasibility and draft of associated IC Business Case
- Manage the portfolio of residential and commercial assets;
- Review financial statements related to the asset, market and economic data to determine the economic impact and/or compliance impact for the operation of the assets.
- Monitor the performance of assets to ensure delivery on financial targets.
- Maximize return on assets and assets utilization.
- Improve maintenance productivity and optimize space / equipment reliability as per business targets.
- Achieve profitability while recognizing inefficiencies and minimize asset capital expenditures.
- Provide input on asset repositioning and asset disposal, in conjunction with the Director – Investment Management.
- Ensure pricing strategy and payment scheduling are suited for market prospects and cultivating for current and new client relationships
- Manage and assess risks associated with the operation / utilization of assets to ensure activities are in alignment with the investment management objectives.
Min of 10+ years of at least 5 years of experience in real estate, property and asset management, investment banking, buy side or sell side advisory or other related field.
YOE IN MANAGERIAL POSITIONMin of 2+ years in a related managerial position
FIELD OF EXPERIENCEBanking, real estate consultancy, management consultancy.
TECHNICAL AND INTERPERSONAL SKILLS- Outstanding analytical and quantitative skills; proficiency with standard software, including MS Office; advanced Excel skills is a must.
- Proven track record in conducting valuation / financial models.
- Able to analyze, evaluate and move quickly to support rapid decision making.
- Ability to interpret and manage transaction documentation: NDAs, MoUs, LoI’s, and SPA’s
- Ability to develop Board level papers and investment memoranda.
Bachelor Degree in Engineering, Economics, Finance or Accounting, MBA (Finance), CFA, CA or CPA preferred.
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