Fund Management Manager (Real Estate)
We are partnering with a globally renowned investment firm to identify a high-calibre Fund Management Manager to join their expanding team.
Job Responsibilities:
Fund Management Activities (Under CMS License)
- Set-up the Fund Management Company
- Advise on the most suitable corporate structure for the fund management company (e.g., private limited company , partnership , or branch office )
- Help the company choose the right fund structure , including the use of Variable Capital Companies (VCCs) for flexible capital management.
- Set-up the SOP and guideline
- Investment Strategy & Portfolio Management
- Develop and manage investment portfolios across multiple asset classes (e.g., equities, fixed income, venture capital, private equity, hedge funds, etc.).
- Create investment strategies tailored to the objectives of the VCC and its investors.
- Monitor financial markets, analyze investment risks, and adjust portfolios accordingly.
- VCC Fund Structuring & Administration
- Establish and operate VCCs, including designing the structure for umbrella VCCs with multiple sub-funds.
- Handle subscription and redemption processes for VCC investors and manage capital calls and distributions.
- Ensure compliance with VCC-specific regulations, including share capital flexibility (variable capital structure).
- Investor Relations & Fundraising
- Liaise with investors, including high-net-worth individuals (HNWIs), institutional investors, and family offices, to manage fund subscriptions and provide updates.
- Prepare investor communications including fund performance reports, quarterly updates, and annual reports.
- Fundraising support by preparing pitch decks and marketing materials.
- Regulatory Compliance & Reporting
- Ensure compliance with MAS guidelines under the Securities and Futures Act (SFA) and other applicable regulations (AML, KYC, etc.).
- File necessary returns to ACRA and MAS, including annual financial statements, investor reports, and tax filings.
- Monitor and maintain fund risk management policies and perform due diligence on investments.
Qualification
- Educational Background
- A degree in Finance, Accounting, Economics, or a related field
- Advanced qualifications such as Chartered Financial Analyst (CFA), Certified Public Accountant (CPA), or Master’s in Finance are highly regarded.
- Relevant Work Experience
- CMS holder with at least 5-8 years of Investment House experience, preferably in the financial or fund management sector.
- Experience in fund management, including portfolio management, investment analysis, and financial modeling.
- Hands-on experience with VCC structures and capital markets services in a regulated environment.
- Prior exposure to regulatory compliance (MAS, ACRA, IRAS) and tax regulations is essential.
- CMS license holder with 5–8 years of experience in fund management, preferably within the real estate sector.
- Proven track record in fundraising and investor relations .
Regret to inform that only shortlisted candidates will be notified.
www.dadaconsultants.com
EA Registration Number: R1878287F
Business Registration Number: 201735941W.