Vice President – Portfolio Management
Listed on 2026-03-05
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Finance & Banking
Portfolio Manager, Risk Manager/Analyst -
Management
Portfolio Manager, Risk Manager/Analyst
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.
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.
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