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Investment Supervisor
Job in
Riyadh, Riyadh Region, Saudi Arabia
Listed on 2026-01-03
Listing for:
تراحم
Full Time
position Listed on 2026-01-03
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Manager
Job Description & How to Apply Below
The incumbent is responsible for developing investment strategies and making informed investment decisions. This includes managing and monitoring investment portfolios, conducting market analysis, evaluating investment opportunities, reviewing performance, and preparing comprehensive financial and investment reports.
KeyDuties & Responsibilities
- Performance Oversight: Supervise the financial and operational performance of real estate assets, including tracking revenue, occupancy rates, operating expenses, and Net Operating Income (NOI), while analyzing variances from targets.
- Annual Planning: Prepare and monitor annual operating plans for each asset, covering financial forecasts, maintenance plans, and Capital Expenditure (Cap Ex) schedules.
- Operator Management: Oversee property management companies and operators, reviewing their performance against specific KPIs, ensuring contract compliance, and recommending continuation, modification, or replacement.
- Yield Optimization: Evaluate opportunities to improve asset yields, including rent re‑pricing, occupancy optimization, contract restructuring, or studying development and exit opportunities.
- Reporting: Prepare periodic reports for Senior Management and the Investment Committee regarding asset performance, risks, and strategic recommendations.
- Finance Coordination: Coordinate with the Finance Department regarding revenue collection, expense control, cash flows, and budget alignment.
- Compliance & Risk: Monitor regulatory and contractual aspects of assets (licensing, insurance, statutory obligations) and manage associated risks.
- Portfolio Strategy: Contribute to updating the real estate portfolio strategy in line with committee directives and risk‑return targets.
- Policy Implementation: Apply approved investment policies and monitor the actual allocation of financial, operational, and real‑estate assets.
- Deposit Management: Manage bank deposits, negotiate yields, track maturities, and handle placement/liquidation orders.
- Strategic Design: Design "Deposit Ladders" to optimize returns against liquidity and risk.
- Market Comparison: Collect bank offers, prepare comparative price/term sheets, and provide renewal recommendations based on liquidity policies.
- Performance Evaluation: Monitor endowment fund investments, evaluating performance against peer funds and benchmarks.
- Technical Review: Review performance reports (NAV, unit price, distributions, policy compliance) and benchmark them accordingly.
- Distribution Recommendations: Provide recommendations on re‑investing or distributing returns and issue periodic summaries.
- Financial Supervision: Oversee the financial and investment performance of retail stores, including profit margins, risk/opportunity analysis, and reporting.
- SLA & Revenue Sharing: Manage relationships with operators and monitor compliance with revenue‑sharing models and Service Level Agreements (SLAs).
- Quality Audit: Implement inspection schedules and quality audits; issue and close corrective action reports within specified deadlines.
- Financial Settlement: Lead the settlement cycle (weekly/monthly): reconcile sales, resolve discrepancies, and approve reports in coordination with Finance.
- Financial Modeling: Prepare financial feasibility studies for investment projects (stores, factories, prison operations, real estate) including NPV, IRR, and Sensitivity Analysis.
- Project Monitoring: Conduct preliminary studies for future opportunities, track implementation, and prepare periodic performance/risk reports.
- Institutional Relations: Build and manage banking and institutional relationships, negotiate terms, and develop investment products.
- System Integration: Monitor payment flows into aggregator accounts, link them to virtual portfolios, and lead investigations into system anomalies or integration failures.
- Reporting Packages: Compile unified monthly/quarterly reporting packages (stores, assets, deposits, endowment, digital) with standardized data dictionaries.
- Data Visualization: Build dashboards using Excel/Power BI and perform Data Quality Assurance (QA)…
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