2,674 Remote Real Estate Portfolio Analyst jobs in Kenya
Lead Real Estate Investment Analyst - Remote Portfolio Management
Posted 19 days ago
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Senior Real Estate Investment Analyst - Remote Portfolio Management
Posted 20 days ago
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- Conducting comprehensive financial analysis and feasibility studies for potential real estate acquisitions.
- Developing sophisticated financial models (e.g., DCF, LTV, IRR) to evaluate investment returns and risks.
- Performing market research and analysis to identify emerging trends, opportunities, and competitive landscapes.
- Monitoring and analyzing the performance of the existing real estate portfolio, identifying areas for optimization.
- Preparing detailed investment reports, presentations, and recommendations for senior investment committees.
- Conducting thorough due diligence on properties, including site visits (as required by the role, potentially involving travel), legal review, and environmental assessments.
- Collaborating with legal, finance, and asset management teams to structure and execute transactions.
- Building and maintaining relationships with brokers, developers, and other industry stakeholders.
- Staying current with real estate market dynamics, economic indicators, and regulatory changes.
- Contributing to the development and refinement of investment strategies and asset allocation.
Qualifications:
- Bachelor's degree in Finance, Economics, Real Estate, or a related quantitative field. A Master's degree or MBA is preferred.
- Minimum of 6 years of experience in real estate investment analysis, financial modeling, or a related field.
- Proven expertise in real estate valuation methodologies and financial statement analysis.
- Advanced proficiency in Microsoft Excel for financial modeling and data analysis.
- Familiarity with real estate databases and market research tools (e.g., CoStar, Bloomberg).
- Strong understanding of real estate capital markets, debt financing, and equity structures.
- Exceptional analytical, critical thinking, and problem-solving skills.
- Excellent written and verbal communication skills, with the ability to present complex information clearly.
- Highly organized, detail-oriented, and capable of managing multiple projects simultaneously in a remote setting.
- Experience with Argus Enterprise software is a strong plus.
Senior Real Estate Portfolio Analyst - Remote
Posted 20 days ago
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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.
- 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.
Remote Real Estate Portfolio Analyst
Posted 17 days ago
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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.
- 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.
Senior Remote Real Estate Portfolio Analyst
Posted 10 days ago
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Remote Senior Real Estate Portfolio Analyst
Posted 14 days ago
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Responsibilities:
- Conduct comprehensive financial analysis and modeling for potential real estate acquisitions and developments.
- Perform market research and competitive analysis to identify investment opportunities and risks.
- Evaluate and monitor the performance of existing real estate assets within the portfolio.
- Prepare detailed investment memorandums, valuation reports, and portfolio performance reviews.
- Develop and maintain financial models to forecast property income, expenses, and returns.
- Collaborate with internal teams and external parties (brokers, appraisers, legal) on due diligence and transaction execution.
- Stay abreast of market trends, economic conditions, and regulatory changes affecting the real estate sector.
- Present findings and recommendations to senior management and investment committees.
- Manage relationships with key stakeholders and contribute to strategic portfolio planning.
- Ensure data integrity and accuracy in all financial reporting and analysis.
- Bachelor's degree in Finance, Economics, Real Estate, or a related quantitative field. Master's degree or CFA designation is a plus.
- Minimum of 6 years of experience in real estate investment analysis, portfolio management, or a related field.
- Advanced proficiency in financial modeling, valuation techniques (DCF, comparables, etc.), and Excel.
- Experience with real estate market data platforms (e.g., CoStar, REIS).
- Strong understanding of real estate finance, capital markets, and investment strategies.
- Excellent analytical, problem-solving, and critical thinking skills.
- Superb written and verbal communication skills, with the ability to present complex information clearly.
- Ability to work independently, manage time effectively, and deliver high-quality results in a remote environment.
- Demonstrated ability to manage multiple projects and meet deadlines under pressure.
- Familiarity with Kenyan real estate market dynamics is advantageous.
Remote Senior Real Estate Investment Analyst - Global Portfolio Management
Posted 20 days ago
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Responsibilities:
- Conduct comprehensive market research and analysis to identify investment opportunities and trends in global real estate markets.
- Perform detailed financial modeling, valuation, and due diligence for potential acquisitions and dispositions.
- Analyze property-level and portfolio-level performance, providing insights and recommendations to senior management.
- Develop and maintain relationships with brokers, developers, and other industry professionals.
- Prepare investment committee memos, presentations, and reports.
- Monitor real estate market conditions, economic indicators, and regulatory changes affecting investment strategies.
- Assist in the management of existing portfolio assets, including lease analysis, capital expenditure planning, and asset enhancement initiatives.
- Support the asset management team in maximizing property value and cash flow.
- Collaborate effectively with internal teams and external partners in a remote environment.
- Stay abreast of new investment technologies and analytical tools.
- Bachelor's degree in Finance, Economics, Real Estate, or a related quantitative field. A Master's degree (e.g., MBA, MSRE) is a strong advantage.
- Minimum of 5 years of experience in real estate investment analysis, acquisitions, or asset management.
- Proven expertise in financial modeling (DCF, LBO, sensitivity analysis) and valuation techniques.
- Strong understanding of real estate markets, property types, and investment structures.
- Excellent analytical, quantitative, and problem-solving skills.
- Proficiency in real estate data platforms (e.g., CoStar, Argus) and Microsoft Excel.
- Strong written and verbal communication skills, with the ability to present complex information clearly.
- Demonstrated ability to work independently, manage multiple projects, and meet deadlines in a remote setting.
- Experience with international real estate markets is a plus.
- Ability to adapt to changing market conditions and investment strategies.
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Quantitative Analyst - Financial Modeling
Posted 14 days ago
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Qualifications:
- Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, or Financial Engineering.
- Minimum of 5 years of experience as a Quantitative Analyst or in a similar role.
- Proven experience in developing and implementing financial models (pricing, risk, econometrics).
- Strong programming skills in Python, R, C++, or MATLAB.
- Familiarity with financial markets, derivatives, and fixed income instruments.
- Excellent analytical, problem-solving, and statistical modeling skills.
- Strong communication and presentation abilities, with the capacity to explain complex quantitative concepts to diverse audiences.
Lead Quantitative Analyst (Financial Modeling)
Posted 20 days ago
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Senior Quantitative Analyst - Financial Modeling
Posted 20 days ago
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Responsibilities:
- Design, develop, backtest, and implement sophisticated quantitative models for pricing derivatives, assessing risk, and optimizing trading strategies.
- Analyze large datasets to identify market trends, correlations, and opportunities.
- Collaborate closely with traders, portfolio managers, and risk managers in a remote setting to understand their needs and develop tailored solutions.
- Ensure the accuracy, robustness, and regulatory compliance of all developed models.
- Perform rigorous validation of models, including sensitivity analysis and stress testing.
- Develop and maintain high-quality code in languages such as Python, R, C++, or similar.
- Contribute to the firm's research efforts and stay current with advancements in quantitative finance and financial engineering.
- Prepare detailed documentation of models, methodologies, and results for both technical and non-technical audiences.
- Monitor the performance of implemented models and propose necessary adjustments or enhancements.
- Communicate complex quantitative concepts clearly and concisely to stakeholders.
- Mentor junior quantitative analysts and contribute to the team's knowledge base.
Qualifications:
- Master's degree or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or Economics.
- Minimum of 7 years of experience in quantitative analysis within the financial industry, with a focus on modeling.
- Proven expertise in developing and implementing models for pricing, risk management, or algorithmic trading.
- Strong programming skills in Python, R, C++, or Java, with experience in relevant scientific libraries.
- Deep understanding of financial markets, asset classes (equities, fixed income, derivatives), and trading strategies.
- Excellent analytical, statistical, and problem-solving skills.
- Exceptional communication and interpersonal skills, with the ability to articulate complex quantitative concepts effectively in a remote environment.
- Experience with large-scale data analysis and database technologies.
- Familiarity with regulatory requirements in the financial sector (e.g., Basel Accords) is a plus.
- Ability to work independently and collaboratively in a fast-paced, fully remote setting.