609 Portfolio Analysis jobs in Kenya

Card Portfolio Specialist

Nairobi, Nairobi KES1200000 - KES3600000 Y RP International

Posted today

Job Viewed

Tap Again To Close

Job Description

Are you a seasoned Card Payments expert with a passion for driving business growth and strategy? Do you have a proven track record of managing card portfolios and launching innovative payment products?

We are partnering with a leading financial institution in Kenya, a true leader in the banking sector, to recruit a high-calibre
Card Portfolio Specialist
for a pivotal 12-month engagement based in Nairobi.

The Role:

In this role, you will be the driving force behind the growth and strategy of the card business portfolio. You will take full P&L accountability and be instrumental in shaping the go-to-market strategy for debit, credit, and commercial card products, including emerging solutions like tokenization and virtual cards.

Key Responsibilities:

  • Own the card portfolio's P&L, monitoring revenues, costs, and profits to ensure financial targets are met.
  • Design and execute sales, marketing, and promotional campaigns to drive customer acquisition and revenue growth.
  • Monitor portfolio health (approval rates, spend growth, etc.) and implement strategies to optimise performance.
  • Lead the end-to-end launch of new card products and features, from business case development to program management and execution.
  • Establish and refine systems and processes to enhance operational efficiency, fraud management, and customer experience.
  • Collaborate closely with cross-functional teams including Marketing, IT, and Operations to troubleshoot issues and deliver seamless customer journeys.

The Ideal Candidate:

  • Is based in
    Nairobi, Kenya
    and has
    years of direct experience
    in the card payments business.
  • Has a deep understanding of card business operations, scheme compliance, and the payments landscape.
  • Possesses a strong background in card project implementation and management.
  • Is a strategic thinker with excellent analytical, communication, and stakeholder management skills.
  • Is a self-starter with the ability to manage complex projects independently and work effectively across various departments to get things done.
  • Holds a Bachelor's degree in a relevant field or equivalent extensive work experience.

Ready to make an impact?

If you are a results-driven card payments professional looking for a challenging and high-impact role with a market leader, we would love to hear from you.
Apply now

CardPayments #PortfolioManagement #NairobiJobs #Fintech #BankingJobs #JobSearch #LinkedInJobs #Hiring #ProductLaunch #Payments #Kenya
This advertiser has chosen not to accept applicants from your region.

Lead Real Estate Portfolio Analyst

40100 Kisumu KES300000 Annually WhatJobs

Posted 19 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client is seeking a visionary Lead Real Estate Portfolio Analyst to remotely manage and optimize their extensive property portfolio, with a focus on assets in and around Kisumu, Kisumu, KE . This critical, fully remote role requires a strategic thinker with a deep understanding of real estate investment, market dynamics, and financial analysis. You will be responsible for evaluating investment opportunities, managing existing assets, and driving value appreciation across a diverse range of properties. Your expertise will guide strategic decisions, ensuring the sustained growth and profitability of our client's real estate holdings.

Key Responsibilities include:
  • Conducting in-depth market research and analysis to identify profitable real estate investment opportunities.
  • Developing and implementing portfolio management strategies to maximize ROI.
  • Performing financial modeling, valuation, and due diligence for potential acquisitions and dispositions.
  • Monitoring portfolio performance, identifying risks, and recommending corrective actions.
  • Preparing comprehensive reports and presentations for senior management and stakeholders.
  • Managing relationships with property managers, brokers, and legal counsel remotely.
  • Analyzing rental income, operating expenses, and property taxes for portfolio optimization.
  • Developing strategic plans for property development, renovations, and leasing.
  • Keeping abreast of real estate market trends, regulations, and economic factors impacting the portfolio.
  • Utilizing advanced analytics and data visualization tools to present insights effectively.

Qualifications:
  • Minimum 8 years of progressive experience in real estate investment, portfolio management, or asset management.
  • Strong financial modeling, valuation, and analytical skills.
  • Proven track record of successfully managing and growing a real estate portfolio.
  • Excellent understanding of real estate law, market trends, and investment strategies.
  • Proficiency in real estate software, CRM systems, and advanced analytical tools.
  • Exceptional communication, negotiation, and presentation skills, adaptable for remote interactions.
  • Bachelor's degree in Finance, Economics, Real Estate, or a related quantitative field; Master's degree or relevant certifications (e.g., CFA, CCIM) are a plus.
  • Ability to work independently and make data-driven decisions in a remote environment.
  • Strategic mindset with a keen eye for detail and risk management.
This is a unique opportunity to shape the future of our client's real estate ventures from anywhere, driving strategic growth and value in the dynamic Kenyan property market.
This advertiser has chosen not to accept applicants from your region.

Cards Portfolio Specialist

Nairobi, Nairobi KES600000 - KES1200000 Y PayTech Group

Posted today

Job Viewed

Tap Again To Close

Job Description

Job Title:
Card Product Specialist

Term:
12 months

Client Location:
Nairobi, Kenya

Division:
Cards

Reports to:
Head of Cards/ CEO

Relevant Experience:
Card Payments, commercial card, MPGS, XB send, card operations.

Mandatory Requirements:

  • Based in Nairobi
  • 10-15 years experience in card payments business.

PURPOSE OF JOB
Client is seeking to drive card business growth and strategy i.e. Debit and credit card, commercial credit card, MPGS, XB Send. Client needs a resource to be able to manage the card business portfolio and support go-to market strategy of the card products.

TASKS
Core Responsibilities And Accountabilities

  • P&L accountability, monitor revenues, costs and profits on monthly and quarterly basis
  • Initiate and run sales and marketing activities in collaboration with channel, marketing and IT teams e.g.
  • Customer acquisition activities
  • Campaigns and promotions
  • Tactical initiatives that would increase revenues of the bank and reduce costs
  • Monitor card portfolio health e.g. card transaction approval rates, growth in spend, credit limit utilization, pricing, etc. and take necessary action to remediate negative trends
  • Monitor scheme costs and compliance issues and ensure efficient cost management
  • Work to establish systems and processes to ensure efficient running of the card business from a fraud, operations and sales perspective (this will require working with various functional teams in the organization)
  • Identify acquisition opportunities focusing on cross-sell for the short-term
  • Design the ideal campaigns based on an understanding of the client capabilities and priorities
  • Build business cases to facilitate internal buy-in and approvals
  • Coordinate campaign execution and troubleshoot any issues that may come up
  • Work with client and internal teams to define new products and optimal CVP
  • Help build product business case and help obtain internal and external approvals for launch
  • Program manage new product launch by coordinating across all stakeholders
  • Report on progress and troubleshoot/ escalate issues
  • Implement relevant projects with company related to Tokenization, virtual cards etc.
  • Working with marketing, communication, IT and operations teams to monitor customer experience issues related to:
  • Declines
  • Fraud
  • Chargebacks
  • Address technical issues with card products with the relevant operations and IT teams

Knowledge And Experience

  • Proven experience in card products business development in retail banking
  • Strong analytical, communication, leadership, and stakeholder management skills.
  • Ability to manage end-to-end card product launch or revamp projects independently.
  • Knowledge of market trends, opportunities, and product launches in the payments market
  • Experience in communicating and interacting with senior stakeholders for periodic updates.
  • Excellent verbal and written communication skills and the ability to multi-task in a fast-paced environment.
  • Bachelor's Degree in appropriate field of study or equivalent work experience
  • Ability to work with various functional departments across the banks to get things done

Mandatory Skills**

  • Must be on client site/country
  • Card project implementation and management
  • Deep knowledge of Card business and payments
  • Based in Nairobi Kenya
  • 10 -15 yrs experience in card payments business/project implementation
This advertiser has chosen not to accept applicants from your region.

Senior Real Estate Portfolio Analyst

70100 Abothuguchi West KES180000 Annually WhatJobs remove_red_eye View All

Posted 19 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client, a leading firm in the real estate sector, is seeking an experienced and analytical Senior Real Estate Portfolio Analyst to join their dynamic team. This role is crucial in managing and optimizing a diverse portfolio of properties, providing strategic insights that drive investment decisions and enhance asset value. The successful candidate will be responsible for in-depth market research, financial modeling, performance analysis, and reporting on property portfolios. You will work closely with acquisition, leasing, and asset management teams to identify opportunities and mitigate risks. This position offers a hybrid work arrangement, combining the benefits of remote flexibility with essential in-office collaboration.

Key responsibilities include:
  • Analyzing real estate market trends, economic indicators, and demographic data to identify investment opportunities and potential risks.
  • Developing and maintaining sophisticated financial models for property valuations, cash flow projections, and investment return analysis.
  • Monitoring and evaluating the performance of the existing real estate portfolio, including occupancy rates, rental income, operating expenses, and capital appreciation.
  • Preparing comprehensive reports and presentations for senior management and stakeholders on portfolio performance, market insights, and strategic recommendations.
  • Conducting due diligence on potential acquisitions, including site visits, property inspections, and financial statement analysis.
  • Assisting in the negotiation of lease agreements and property management contracts.
  • Identifying opportunities for portfolio enhancement through renovations, repositioning, or disposition strategies.
  • Maintaining strong relationships with brokers, property managers, and other industry professionals.
  • Ensuring compliance with all relevant legal and regulatory requirements related to property ownership and investment.
  • Utilizing real estate databases and analytics software to support research and decision-making.
  • Collaborating with the finance team on budgeting, forecasting, and capital allocation for the real estate portfolio.
  • Advising on asset disposition strategies to maximize shareholder value.
The ideal candidate will possess a Bachelor's degree in Finance, Economics, Real Estate, or a related field, with a minimum of 5-7 years of progressive experience in real estate analysis, investment, or asset management. A Master's degree or relevant professional designation (e.g., CFA, MRICS) is highly advantageous. Strong quantitative and analytical skills, proficiency in financial modeling software (e.g., Excel, Argus), and excellent presentation skills are required. The ability to work effectively in a hybrid environment, manage multiple priorities, and deliver high-quality results under pressure is essential. A deep understanding of the Kenyan real estate market is a significant plus.
This advertiser has chosen not to accept applicants from your region.

Remote Real Estate Portfolio Analyst

20200 Mwembe KES190000 Annually WhatJobs remove_red_eye View All

Posted 17 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client is seeking a highly analytical and detail-oriented Real Estate Portfolio Analyst to join their growing team. This is a fully remote position, providing the flexibility to manage and analyze a diverse real estate portfolio from your home office. The successful candidate will be responsible for evaluating property performance, conducting market research, financial modeling, and providing strategic recommendations to optimize the portfolio's value and returns. You will work with large datasets, identify investment opportunities, assess risks, and monitor market trends impacting the real estate sector. Your expertise will be crucial in reporting on portfolio performance, lease analysis, valuation, and asset management strategies. The ability to synthesize complex financial and market data into actionable insights is paramount. Collaboration with acquisitions, leasing, and asset management teams, all operating in a virtual environment, will be key to success.

Responsibilities:
  • Analyze the financial performance of real estate assets within the portfolio, including income, expenses, and ROI.
  • Conduct market research and analysis to identify trends, opportunities, and potential risks.
  • Develop financial models for property valuations, investment analysis, and development feasibility studies.
  • Monitor portfolio performance against established benchmarks and strategic objectives.
  • Prepare detailed reports on portfolio performance, market conditions, and investment recommendations for senior management.
  • Assist in the evaluation of potential acquisitions and dispositions.
  • Analyze lease agreements and tenant data to assess risk and optimize lease terms.
  • Track key performance indicators (KPIs) related to occupancy, rental income, and asset value.
  • Collaborate with internal teams (acquisitions, asset management, leasing) to provide analytical support.
  • Stay informed about macroeconomic factors and real estate market dynamics that may impact the portfolio.
  • Utilize real estate databases and financial software for data management and analysis.
Qualifications:
  • Bachelor's degree in Finance, Economics, Real Estate, Business Administration, or a related field.
  • Minimum of 3 years of experience in real estate analysis, investment, or asset management.
  • Strong understanding of real estate finance, valuation methods, and market analysis techniques.
  • Proficiency in financial modeling, Excel, and real estate data platforms (e.g., CoStar, Argus).
  • Excellent analytical, quantitative, and problem-solving skills.
  • Strong written and verbal communication skills, with the ability to present complex information clearly.
  • Ability to work independently, manage multiple projects, and meet deadlines in a remote setting.
  • Detail-oriented with a commitment to accuracy.
  • Familiarity with different real estate asset classes (e.g., commercial, residential, industrial) is a plus.
  • Proactive and eager to contribute to strategic decision-making.
This is an outstanding opportunity for a talented Real Estate Portfolio Analyst to contribute to a leading firm's success in a dynamic, fully remote role.
This advertiser has chosen not to accept applicants from your region.

Remote Senior Property Portfolio Analyst

00100 Abothuguchi West KES180000 Annually WhatJobs remove_red_eye View All

Posted 14 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client is seeking a highly analytical and results-oriented Senior Property Portfolio Analyst to join our fully remote real estate division. This pivotal role involves managing and optimizing a diverse portfolio of properties, driving investment performance, and providing strategic insights to senior leadership. You will leverage your expertise in market analysis, financial modeling, and property valuation to identify opportunities for growth, mitigate risks, and enhance asset value across various market segments.

Your primary responsibilities will include conducting in-depth market research, analyzing property trends, and evaluating investment opportunities. You will develop comprehensive financial models to forecast property performance, assess potential returns, and support acquisition and disposition decisions. This role demands a keen eye for detail in scrutinizing lease agreements, operating expenses, and other property-related data to ensure maximum profitability and operational efficiency. You will also be responsible for preparing detailed reports and presentations for stakeholders, communicating complex financial information and strategic recommendations clearly and concisely.

This is a fully remote position, requiring exceptional organizational skills, self-discipline, and the ability to thrive in a virtual work environment. You will collaborate closely with internal teams, external partners, and property managers, utilizing advanced communication and project management tools to ensure seamless operations. The ideal candidate will possess a deep understanding of real estate finance, investment strategies, and market dynamics. A proactive approach to identifying and resolving challenges, coupled with strong negotiation and relationship-building skills, will be essential for success in this demanding role.

Qualifications:
  • Bachelor's degree in Finance, Real Estate, Economics, or a related quantitative field. Master's degree or relevant professional certification (e.g., CFA, CCIM) preferred.
  • Minimum of 6 years of experience in real estate analysis, investment, or portfolio management.
  • Proven expertise in financial modeling, discounted cash flow (DCF) analysis, and property valuation techniques.
  • Proficiency with real estate data platforms and analytical software (e.g., Argus Enterprise, CoStar, Excel).
  • Strong understanding of real estate market trends, lease structures, and property operations.
  • Excellent written and verbal communication skills, with the ability to present complex data and insights effectively.
  • Demonstrated ability to work independently, manage multiple projects simultaneously, and meet tight deadlines in a remote setting.
  • Experience in managing relationships with brokers, property managers, and legal counsel.
  • High level of integrity and attention to detail.
This is an outstanding opportunity to make a significant impact on the real estate landscape, particularly within dynamic markets such as **Nairobi, Nairobi, KE**, from the comfort of your remote workspace. Join our forward-thinking team and help shape the future of property investment.
This advertiser has chosen not to accept applicants from your region.

Senior Property Portfolio Analyst (Remote)

60200 Meru , Eastern KES180000 Annually WhatJobs remove_red_eye View All

Posted 19 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client is seeking a highly analytical and experienced Senior Property Portfolio Analyst to join their investment division. This is a fully remote position, providing a unique opportunity to manage and analyze a diverse real estate portfolio from anywhere. You will be responsible for evaluating property investment opportunities, conducting market research, performing financial modeling, and providing strategic recommendations to optimize portfolio performance. The role involves close collaboration with acquisition teams, asset managers, and finance professionals to ensure profitability and minimize risk. The ideal candidate possesses strong quantitative skills, a deep understanding of real estate markets, and a proven ability to interpret complex data into actionable insights. You will play a key role in shaping the future of our client's real estate investments.

Responsibilities:
  • Analyze market trends, property values, and economic indicators to identify investment opportunities.
  • Develop and maintain financial models to forecast property performance, including cash flow, ROI, and NPV.
  • Evaluate potential acquisitions and dispositions, performing due diligence and risk assessment.
  • Monitor the performance of existing properties in the portfolio, identifying areas for improvement and optimization.
  • Prepare detailed reports and presentations for senior management on portfolio performance and strategic recommendations.
  • Collaborate with legal and finance teams on transaction structuring and closing.
  • Develop and implement asset management strategies to maximize property value and rental income.
  • Conduct feasibility studies for new development projects.
  • Stay current with real estate regulations, zoning laws, and market best practices.
  • Utilize specialized real estate software and data analytics tools to support decision-making.
  • Manage relationships with external stakeholders, including brokers, appraisers, and property managers.
  • Communicate complex financial information clearly and concisely to diverse audiences.
  • Contribute to the development of long-term investment strategies for the property portfolio.
Qualifications:
  • Master's degree in Finance, Economics, Real Estate, or a related quantitative field.
  • A minimum of 5 years of experience in real estate analysis, investment, or asset management.
  • Proven expertise in financial modeling, valuation techniques, and market research.
  • Strong understanding of real estate market dynamics, property types, and investment structures.
  • Proficiency in real estate analytics software (e.g., Argus, CoStar) and advanced Excel skills.
  • Excellent analytical, problem-solving, and critical thinking abilities.
  • Strong written and verbal communication skills, with the ability to present complex data effectively.
  • Ability to work independently and manage multiple projects in a remote environment.
  • Experience with various property types (commercial, residential, industrial) is a plus.
  • Relevant certifications (e.g., CFA, CCIM) are highly desirable.
  • Demonstrated ability to make sound investment decisions based on data and market insights.
This position offers a significant opportunity to influence investment strategy and drive value across a substantial real estate portfolio, all from a remote work setting.
This advertiser has chosen not to accept applicants from your region.
Be The First To Know

About the latest Portfolio analysis Jobs in Kenya !

Portfolio Analyst-Financial Institutions Group - req34562

Nairobi, Nairobi KES1500000 - KES3000000 Y IFC - International Finance Corporation

Posted today

Job Viewed

Tap Again To Close

Job Description

Portfolio Analyst-Financial Institutions Group
Job #: req34562

Organization: IFC

Sector: Investment

Grade: GE

Term Duration: 3 years 0 months

Recruitment Type: Local Recruitment

Location: Nairobi,Kenya

Required Language(s): English

Preferred Language(s)
Closing Date: 10/23/2025 (MM/DD/YYY) at 11:59pm UTC

Description
Build a career with impact. Working at the World Bank Group (WBG) provides a unique opportunity to help countries solve their greatest development challenges. As one of the largest sources of funding and knowledge for developing countries, the WBG is a unique partnership of five global institutions dedicated to ending poverty, increasing shared prosperity, and promoting sustainable development. With 189 member countries and more than 120 offices worldwide, the WBG works with public and private sector partners, investing in groundbreaking projects and using data, research, and technology to develop solutions to the most urgent global challenges.

The International Finance Corporation (IFC), a member of the World Bank Group, is the largest global development institution focused on the private sector in emerging markets. We work in more than 100 countries, using our capital, expertise, and influence to create markets and opportunities in developing countries. In fiscal year 2025, IFC committed a record $71.7 billion to private companies and financial institutions in developing countries, leveraging private sector solutions, and mobilizing private capital to create a world free of poverty on a livable planet. For more information, visit

Private sector financial development is essential to the promotion of successful and sustainable economies in low and middle-income countries around the world. Sound and efficient financial markets can ensure that resources are allocated where they are most productive, assisting job creation and spurring economic growth. IFC's goal is to prioritize investment in the financial sector because it promotes development in all other sectors.

The Financial Institution Group (FIG) is one of IFC's key departments responsible for a significant portion of IFC's business volume, profitability and development reach, approximately 40%. FIG engages in a wide range of sub-sectors, including Microfinance, SME, Gender, Climate, Insurance, Capital Markets, Housing, Distressed Assets, and other areas, with both investment and advisory services delivered to IFC's clients through IFC's global network. FIG has three main objectives: 1) financial inclusion, 2) indirectly servicing the real economy, and 3) mobilizing third-party resources. The goal is to develop efficient financial systems that will increase financial inclusion and fuel economic growth in client countries and enhance IFC's developmental impact.

Duties And Accountabilities

  • Provide analytical support to the Portfolio Managers in the management of the regional FIG portfolio.
  • Provide analytical support to portfolio investment staff in the monitoring and servicing of portfolio companies.
  • Conduct industry, market, and company research to inform portfolio strategy and other forward-looking actions.
  • Analyze patterns, risks, and performance of portfolio companies to inform new business strategy.
  • Prepare regular (mostly quarterly) reports that provide analytical insight to multiple dimensions of the portfolio, including impact, profitability, risk, capital utilization, etc.
  • Participate in and take minutes of portfolio-related meetings

Selection Criteria

  • Bachelor's degree, preferably with focus on finance, economics or mathematics.
  • Strong analytical skills in general; high level proficiency in Excel specifically.
  • Minimum of 2 years of relevant work experience in a numerical/analytical role.
  • Good understanding of the financial and operational characteristics of financial institutions.
  • Demonstrated ability to work successfully in multicultural teams and across boundaries.
  • Strong verbal and written communication skills in English; understanding of French a significant plus.
  • High proficiency in preparing financially oriented PowerPoint presentations; and
  • Preferred but not required: proficiency in programming for data analytics (SQL, Python) and proficiency with advanced data analytics software ( PowerBI )

WBG Culture Attributes

  • Sense of urgency: Anticipate and quickly respond to the needs of internal and external stakeholders.
  • Thoughtful risk-taking: Challenge the status quo and push boundaries to achieve greater impact.
  • Empowerment and accountability: Empower yourself and others to act and hold each other accountable for results.

World Bank Group Core Competencies

The World Bank Group offers comprehensive benefits, including a retirement plan; medical, life and disability insurance; and paid leave, including parental leave, as well as reasonable accommodations for individuals with disabilities.

We are proud to be an equal opportunity and inclusive employer with a dedicated and committed workforce, and do not discriminate based on gender, gender identity, religion, race, ethnicity, sexual orientation, or disability.

Learn more about working at the
World Bank
and
IFC
, including our values and inspiring stories.

This advertiser has chosen not to accept applicants from your region.

Senior Real Estate Portfolio Analyst - Remote

10103 Mangu KES250000 Annually WhatJobs remove_red_eye View All

Posted 19 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client is actively seeking a highly analytical Senior Real Estate Portfolio Analyst to join their fully remote team. This critical role will focus on evaluating, managing, and optimizing a diverse portfolio of real estate assets. You will be responsible for in-depth market research, financial modeling, risk assessment, and providing strategic recommendations to enhance portfolio performance. This is a remote-first position, requiring strong self-discipline and excellent communication skills to collaborate effectively with stakeholders across different locations. Machakos, Machakos, KE .

Key Responsibilities:
  • Conducting comprehensive financial analysis and modeling for real estate investments, including DCF, ROI, IRR, and NPV calculations.
  • Monitoring and evaluating the performance of the existing real estate portfolio against established benchmarks.
  • Performing market research and feasibility studies for potential acquisitions and dispositions.
  • Developing strategic recommendations for portfolio optimization, including asset allocation, property management improvements, and risk mitigation.
  • Preparing detailed investment reports, presentations, and memos for senior management and investment committees.
  • Analyzing real estate market trends, economic indicators, and demographic data to identify opportunities and risks.
  • Managing relationships with external parties such as brokers, appraisers, property managers, and legal counsel.
  • Assessing and quantifying risks associated with real estate investments.
  • Tracking lease agreements, tenant relationships, and property operational performance.
  • Ensuring compliance with all relevant real estate laws, regulations, and company policies.
  • Developing and maintaining databases and systems for portfolio tracking and reporting.
  • Collaborating with acquisition and asset management teams to execute investment strategies.
  • Contributing to the development of long-term real estate strategies.
  • Forecasting future portfolio performance and identifying potential challenges.
  • Advising on capital expenditure decisions for existing assets.
Qualifications:
  • Bachelor's degree in Finance, Economics, Real Estate, Business Administration, or a related quantitative field. A Master's degree is a plus.
  • Minimum of 7 years of experience in real estate analysis, investment, or asset management.
  • Strong understanding of real estate finance, valuation methods, and market dynamics.
  • Advanced proficiency in financial modeling (Excel is a must) and data analysis techniques.
  • Experience with real estate investment software and databases (e.g., Argus, CoStar).
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong written and verbal communication skills, with the ability to present complex information clearly and concisely.
  • Ability to work independently, manage multiple projects, and meet deadlines in a remote environment.
  • High level of attention to detail and accuracy.
  • Proven ability to develop strategic insights and make data-driven recommendations.
  • Experience in portfolio management is highly desirable.
This is an exceptional opportunity to play a key role in shaping a real estate portfolio while enjoying the advantages of a fully remote work arrangement.
This advertiser has chosen not to accept applicants from your region.

Senior Remote Real Estate Portfolio Analyst

60200 Meru , Eastern KES130000 Annually WhatJobs

Posted 10 days ago

Job Viewed

Tap Again To Close

Job Description

full-time
Our client, a prominent real estate investment firm, is looking for a highly analytical Senior Remote Real Estate Portfolio Analyst to join their dispersed team. This role is 100% remote, allowing you to leverage your financial acumen and market insights from anywhere. You will be responsible for conducting comprehensive financial analysis and market research to support strategic investment decisions and portfolio management. Your duties will include evaluating potential real estate acquisitions, assessing property valuations, and forecasting market trends. You will develop detailed financial models, perform sensitivity analyses, and prepare investment committee reports. Monitoring the performance of existing portfolio assets, identifying risks and opportunities, and recommending strategic adjustments are key functions. This role requires close collaboration with internal investment teams, external brokers, and property managers, all conducted remotely. You will utilize various real estate databases and financial software to gather and analyze data. The ideal candidate will possess a strong background in finance, economics, or a related field, with a proven track record in real estate analysis and investment. Excellent quantitative skills, proficiency in financial modeling (e.g., Excel, Argus), and a deep understanding of real estate markets are essential. Strong written and verbal communication skills are necessary to present complex findings clearly. An MBA or CFA designation is a plus. This is a significant opportunity to influence investment strategy and contribute to portfolio growth within a leading organization, all while enjoying the benefits of a fully remote work arrangement. The position, while focused on the broader market considerations affecting **Meru, Meru, KE**, is entirely remote.
This advertiser has chosen not to accept applicants from your region.
 

Nearby Locations

Other Jobs Near Me

Industry

  1. request_quote Accounting
  2. work Administrative
  3. eco Agriculture Forestry
  4. smart_toy AI & Emerging Technologies
  5. school Apprenticeships & Trainee
  6. apartment Architecture
  7. palette Arts & Entertainment
  8. directions_car Automotive
  9. flight_takeoff Aviation
  10. account_balance Banking & Finance
  11. local_florist Beauty & Wellness
  12. restaurant Catering
  13. volunteer_activism Charity & Voluntary
  14. science Chemical Engineering
  15. child_friendly Childcare
  16. foundation Civil Engineering
  17. clean_hands Cleaning & Sanitation
  18. diversity_3 Community & Social Care
  19. construction Construction
  20. brush Creative & Digital
  21. currency_bitcoin Crypto & Blockchain
  22. support_agent Customer Service & Helpdesk
  23. medical_services Dental
  24. medical_services Driving & Transport
  25. medical_services E Commerce & Social Media
  26. school Education & Teaching
  27. electrical_services Electrical Engineering
  28. bolt Energy
  29. local_mall Fmcg
  30. gavel Government & Non Profit
  31. emoji_events Graduate
  32. health_and_safety Healthcare
  33. beach_access Hospitality & Tourism
  34. groups Human Resources
  35. precision_manufacturing Industrial Engineering
  36. security Information Security
  37. handyman Installation & Maintenance
  38. policy Insurance
  39. code IT & Software
  40. gavel Legal
  41. sports_soccer Leisure & Sports
  42. inventory_2 Logistics & Warehousing
  43. supervisor_account Management
  44. supervisor_account Management Consultancy
  45. supervisor_account Manufacturing & Production
  46. campaign Marketing
  47. build Mechanical Engineering
  48. perm_media Media & PR
  49. local_hospital Medical
  50. local_hospital Military & Public Safety
  51. local_hospital Mining
  52. medical_services Nursing
  53. local_gas_station Oil & Gas
  54. biotech Pharmaceutical
  55. checklist_rtl Project Management
  56. shopping_bag Purchasing
  57. home_work Real Estate
  58. person_search Recruitment Consultancy
  59. store Retail
  60. point_of_sale Sales
  61. science Scientific Research & Development
  62. wifi Telecoms
  63. psychology Therapy
  64. pets Veterinary
View All Portfolio Analysis Jobs