Your key responsibilities will require you to:
- Demonstrate a deep understanding of the markets across the different asset classes (including, but not exhaustively, offices, retail, logistics, hotels and residential) to be able to source new investment opportunities matching the requirements of the different managed funds and to scale the Manova real estate business.
- Manage the various phases of origination and sourcing, structuring, underwriting, investment committee material preparation, and transaction documentation.
- Be a point of contact towards internal stakeholders such as portfolio or asset managers and provide market insight and advise and lead on internal and external recommendations.
- Manage divestment strategy for assets in accordance with business plans.
- Prepare market overviews, financial analysis and investment performance reports for internal and external stakeholders as required, and support the preparation of financial analysis for key asset-level capital events and investment decisions (for example, major leases, hold/sell strategy, etc)
- Help grow the existing Manova market network to create new business opportunities.
- Represent Manova Partners with key intermediaries, brokers, investors, competitors, institutions, industry peers, and external partners as a thought leader in the industry.
