Lead and advise the Board of Directors (BOD) on capital management initiatives including equity and debt strategy, planning, and execution.
Conduct in-depth research and analysis on macroeconomic trends, real estate markets, capital markets, corporate valuation, and strategic initiatives to enhance shareholder value.
Evaluate and recommend optimal capital structures and capital allocation strategies aligned with the company's long-term goals.
Monitor and analyze industry trends, competitor performance, and market dynamics to generate actionable insights.
Lead and coordinate cross-functional efforts including inputs and analysis from both internal stakeholders and external advisors to support strategic decision-making.
Prepare and deliver high-quality presentations and reports for both internal leadership and external stakeholders, effectively communicating key findings, insights, and recommendations.
REQUIREMENTS
Bachelor's degree in Finance, Economics, or a related field; advanced degrees or certifications (e.g., CFA, MBA) are a plus.
Minimum 10 years of relevant experience, with a strong track record in equity capital markets ideally within leading investment banks, securities firms, or corporate finance advisory/consulting firms.
Real estate industry experience is required
Exposure to mergers and acquisitions (M&A) is a strong advantage.
Deep understanding of capital markets, corporate finance principles, and securities regulations.
Strong financial modeling skills and proficiency in business valuation techniques.
Highly analytical with excellent reasoning and problem-solving capabilities.
Highly proficient in preparing professional PowerPoint presentations
Exceptional attention to detail; hands-on, meticulous, and execution-oriented.
Ability to thrive under pressure, manage multiple complex workstreams, and meet tight deadlines.
Excellent verbal and written communication skills in English.