The Asset Manager is responsible for the management, performance optimisation, and value enhancement of a portfolio of assets on behalf of the organisation. The role focuses on maximise returns, managing risk, and ensuring assets are aligned with broader investment strategy and objectives. Key Responsibilities Manage and monitor performance of assigned asset portfolio(s) Develop and implement asset-level business plans and strategies Identify opportunities to enhance income, value, and long-term returns Ensure alignment with overall investment mandate and strategy Financial Performance & Analysis Analyse financial performance, including income statements, valuations, and cash flows Prepare and present performance reports and forecasts Conduct scenario analysis and sensitivity testing on asset performance Monitor key performance indicators (KPIs) and benchmark against market trends Investment & Transaction Support Support acquisition and disposal processes (due diligence, modelling, and analysis) Assess investment opportunities and provide recommendations Liaise with investment teams, brokers, and external advisors Assist in structuring transactions to optimise returns Stakeholder Management Engage with tenants, operators, service providers, and partners (where applicable) Maintain strong relationships with internal investment teams and senior stakeholders Prepare reports and presentations for investment committees Risk & Compliance Management Identify and manage operational, financial, and market risks within the portfolio Ensure compliance with internal policies, mandates, and regulatory requirements Monitor legal and contractual obligations linked to assets Drive initiatives to improve asset performance (cost reduction, revenue growth, repositioning) Oversee capital expenditure planning and implementation Identify redevelopment or enhancement opportunities Required Qualifications Bachelor’s degree in Property Studies Honours degree in Property Studies CFA or similar investment qualification (advantageous but not essential) Experience 3-8 years’ experience in asset management, property investment, investment analysis, or related field Exposure to financial modelling and valuation techniques Experience within real estate, private equity, or investment management environments preferred Strong financial and analytical ability Advanced Excel and financial modelling skills Understanding of investment principles and valuation methodologies Commercial acumen and strategic thinking Strong communication and stakeholder management skills Attention to detail and strong decision-making ability Ability to manage multiple assets and priorities simultaneously #J-18808-Ljbffr