1,243 Senior Property Portfolio Manager Remote jobs in Kenya
Property Portfolio Manager - Remote
Posted 7 days ago
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Location: Bungoma, Bungoma, KE
Senior Property Portfolio Manager - Remote
Posted 13 days ago
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Remote Property Portfolio Manager
Posted 21 days ago
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Senior Property Manager - Remote Portfolio Oversight
Posted 6 days ago
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Responsibilities:
- Manage all aspects of property operations, including leasing, tenant relations, rent collection, and vendor management.
- Develop and implement strategies to maximize property revenue and minimize expenses.
- Conduct regular property inspections to ensure maintenance standards, safety compliance, and aesthetic appeal.
- Oversee and coordinate maintenance and repair activities, working with contractors and maintenance staff.
- Handle tenant inquiries, complaints, and disputes, ensuring timely and satisfactory resolutions.
- Prepare detailed financial reports, including budgets, variance analyses, and occupancy reports.
- Ensure compliance with all local, state, and federal housing laws and regulations.
- Source and negotiate contracts with vendors and service providers.
- Manage the tenant move-in and move-out processes.
- Develop and implement effective marketing and leasing strategies to attract and retain high-quality tenants.
- Conduct market research to stay informed about real estate trends and competitor activities.
- Perform on-site visits and inspections as required by the hybrid work model.
- Supervise and mentor junior property management staff.
Qualifications:
- Proven experience as a Property Manager, with at least 7 years of experience in managing residential and/or commercial properties.
- Demonstrated success in managing a portfolio of properties and achieving financial goals.
- Strong understanding of property management software and accounting principles.
- Excellent negotiation, communication, and interpersonal skills.
- Knowledge of landlord-tenant laws and building codes.
- Ability to conduct property inspections and assess maintenance needs.
- Leadership skills to effectively manage teams and external contractors.
- Valid driver's license and a reliable vehicle for site visits.
- Professional certifications such as CPM (Certified Property Manager) or equivalent are highly desirable.
- Residency or strong familiarity with the Ruiru, Kiambu, KE area is essential for the on-site components of this hybrid role.
This is an excellent opportunity for an experienced professional to take on greater responsibility and contribute to a leading real estate firm, balancing remote work flexibility with critical site-based duties.
Remote Senior Property Portfolio Manager
Posted 21 days ago
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Lead Financial Analyst, Risk Management
Posted 21 days ago
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Quantitative Financial Analyst - Risk Management
Posted 2 days ago
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Senior Financial Analyst (Risk Management)
Posted 21 days ago
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Responsibilities:
- Develop and implement robust financial risk assessment frameworks and methodologies.
- Analyze financial data to identify potential risks, including market risk, credit risk, operational risk, and liquidity risk.
- Monitor key risk indicators (KRIs) and report on emerging risk trends.
- Conduct stress testing and scenario analysis to evaluate the impact of adverse market conditions.
- Contribute to the development and refinement of risk models and control processes.
- Prepare comprehensive reports and presentations for senior management and regulatory bodies on risk exposure and mitigation strategies.
- Collaborate with various departments to understand their risk profiles and provide guidance on risk management best practices.
- Ensure compliance with relevant financial regulations and industry standards.
- Stay updated on best practices in financial risk management and evolving regulatory landscapes.
- Assist in the development and implementation of risk mitigation plans and policies.
- Evaluate the effectiveness of existing internal controls and recommend improvements.
Qualifications:
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field. A Master's degree or professional certification (e.g., CFA, FRM) is highly preferred.
- Minimum of 6 years of experience in financial analysis, risk management, or a related role within the banking or financial services sector.
- Strong understanding of financial markets, instruments, and risk management principles.
- Proven experience with quantitative analysis, financial modeling, and data visualization tools (e.g., Excel, SQL, Python/R).
- Excellent analytical, problem-solving, and critical thinking skills.
- Exceptional written and verbal communication skills, with the ability to articulate complex financial concepts clearly.
- Demonstrated ability to work independently, manage deadlines, and take initiative in a remote work environment.
- Familiarity with regulatory frameworks such as Basel III, IFRS 9, or similar.
- Experience in report writing and presenting findings to executive-level stakeholders.
- High level of integrity and attention to detail.
- Proactive approach to identifying and addressing potential financial risks.
Remote Financial Analyst - Risk Management
Posted 21 days ago
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Key Responsibilities:
- Identify, assess, and monitor various financial risks, including market risk, credit risk, liquidity risk, and operational risk.
- Develop and implement robust risk management frameworks, policies, and procedures.
- Create and maintain financial models to analyze potential risks and their impact on the organization.
- Conduct stress testing and scenario analysis to evaluate the resilience of the company's financial position.
- Monitor compliance with regulatory requirements and internal risk policies.
- Prepare detailed risk assessment reports and present findings and recommendations to senior management and relevant committees.
- Collaborate with different departments to understand their risk exposures and develop appropriate mitigation strategies.
- Stay updated on industry best practices, regulatory changes, and emerging risks in the financial sector.
- Utilize data analytics tools to identify trends and anomalies that may indicate potential risks.
- Assist in the development and implementation of risk mitigation plans.
- Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field.
- Minimum of 5 years of experience in financial analysis, risk management, or a related role within the banking or financial services industry.
- Strong understanding of financial instruments, markets, and regulatory frameworks (e.g., Basel Accords).
- Proficiency in statistical analysis, financial modeling, and risk assessment techniques.
- Expertise in using data analysis tools and software (e.g., Excel, SQL, Python, R, Tableau).
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong written and verbal communication skills, capable of explaining complex financial concepts clearly.
- Ability to work independently and effectively in a remote team environment.
- Relevant professional certifications (e.g., FRM, CFA) are highly desirable.
Remote Lead Financial Analyst (Risk Management)
Posted 4 days ago
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Responsibilities:
- Develop, implement, and refine financial risk management strategies and policies across the organization.
- Conduct in-depth analysis of financial data to identify, assess, and quantify various financial risks, including market risk, credit risk, operational risk, and liquidity risk.
- Build and maintain sophisticated financial models to forecast potential risk scenarios, stress test portfolios, and evaluate the impact of economic changes.
- Ensure compliance with all relevant financial regulations and reporting requirements (e.g., central bank guidelines).
- Prepare comprehensive risk assessment reports, providing clear insights and actionable recommendations to senior management and the board.
- Oversee the process of risk mitigation, working with relevant departments to implement control measures and contingency plans.
- Lead and mentor a team of financial analysts, providing guidance on analytical methodologies, project management, and professional development.
- Collaborate with internal and external auditors, regulators, and stakeholders to address risk-related inquiries and findings.
- Stay abreast of global financial market trends, economic indicators, and emerging risks, assessing their potential impact on the institution.
- Contribute to the strategic financial planning process by providing risk-based insights and recommendations.
- Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
- A minimum of 8 years of progressive experience in financial analysis, risk management, or a related area within the banking or financial services sector.
- Proven expertise in quantitative financial modeling, risk assessment techniques, and regulatory frameworks.
- Strong understanding of financial instruments, capital markets, and economic principles.
- Excellent analytical and problem-solving skills, with a meticulous attention to detail.
- Proficiency in financial modeling software, statistical analysis tools (e.g., R, Python), and database management.
- Exceptional written and verbal communication skills, with the ability to present complex financial information clearly and concisely to diverse audiences.
- Demonstrated leadership experience, with the ability to effectively manage and motivate a remote team.
- Professional certifications such as FRM, CFA, or PRM are highly desirable.
- Ability to work independently and take ownership of critical financial risk initiatives.