AVP- Real Estate Analytics

  • Full-time
  • Sub Division: Real Estate Group
  • Division: Group Finance

Company Description

Join the UAE’s largest bank and one of the world’s largest and safest financial institutions. Our focus is to create value for our employees, customers, shareholders and communities to grow through differentiation, agility and innovation. 

We are looking for top talent and your success is our success. Accelerate your growth as you help us reach our goals and advance your career. Be ready to make your mark a top company, in an exciting and dynamic industry.  

Job Description

To deliver and maintain effective analytics and reporting, by focusing on data and information elements, quantitative models, systems, and the reporting thereof.

 KEY ACCOUNTABILITIES:

  1. Market Research: Conduct thorough research on real estate market trends, including property values, rental rates, and occupancy rates.
  2. Financial Analysis: Analyze financial data and create models to evaluate the financial viability of potential investments.
    Understanding financial statements and performing detailed financial analysis, Equity analysis and making buy/sell recommendations.
    Proficiency in tools like Excel, SQL, and Bloomberg Terminal for analyzing and presenting data.
    Creating models to predict financial performance and assess investment opportunities. Using statistical methods to analyze financial data and trends.
  3. Property Evaluation: Assess properties for investment potential, considering factors like location, condition, and market trends.
  4. Report Preparation: Prepare detailed reports and presentations on market conditions, property evaluations, and investment opportunities.
  5. Due Diligence: Perform due diligence on prospective real estate deals, including reviewing financial statements, zoning maps, and lease agreements.
  6. Collaboration: Work closely with brokers, property managers, and legal teams to ensure smooth transactions.
  7. Portfolio Management: Managing investment portfolios to maximize returns while minimizing risk. Identifying and mitigating financial risks.

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#LI-MA3

Qualifications

Minimum Qualification

  • A College or University Degree in Accounting, Finance, Economics, Statistics, Math, Engineering or other quantitative field. CA / MBA (top tier)

Minimum Experience

  • 3-5 Years in Financial & Investment Analysis in analytics ideally for within the banking and/or the financial industry.
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