Investment & Asset Management Manager

ZACD Group Ltd
Singapore, SG

Job Description

Role Overview

ZACD Group Ltd is a Singapore-incorporated company listed on the Hong Kong Stock Exchange, operating an integrated real estate investment and development platform covering fund management, property development, asset management and structured investment vehicles.

We are seeking a commercially driven and execution-oriented Investment & Asset Management Manager to support the growth of our real estate investment and asset management platform in Singapore within a dynamic and entrepreneurial environment.

The successful candidate should possess strong commercial acumen and the ability to operate effectively across both structured institutional settings and evolving high-growth environments. Regional market exposure is advantageous, but not mandatory

This role offers a strong growth pathway for individuals with the capability and potential to progress toward senior regulated leadership responsibilities within a MAS CMS licensed fund management platform.

Key Responsibilities

  • Investment & Deal Execution
  • Source and evaluate real estate and alternative investment opportunities across Singapore
  • Conduct:

(i) financial modelling,

(ii) valuation analysis,

(iii) investment feasibility studies,

(iv) market and competitor analysis

  • Support due diligence processes across legal, financial, operational, and regulatory aspects
  • Prepare investment papers and recommendations for management review and investment committees
  • Support deal structuring including:

(i) SPVs,

(ii) JV partnerships,

(iii) co-investment arrangements

  • Asset & Portfolio Management
  • Monitor and optimise portfolio performance across residential, commercial, industrial, and mixed-use assets
  • Drive asset enhancement and value creation initiatives
  • Monitor leasing performance, operational KPIs, yield optimisation, and portfolio risk exposure
  • Coordinate with external property managers, consultants, and project stakeholders
  • Stakeholder & Relationship Management
  • Build and maintain relationships with:

(i) investors,

(ii) developers,

(iii) JV partners,

(iv) consultants,

(v) financial institutions,

(vi) government and regulatory stakeholders

  • Support investor reporting and presentation preparation
  • Participate in regional business development and partnership initiatives
  • Singapore Market Expansion
  • Support investment and market expansion initiatives across Singapore
  • Track macroeconomic, regulatory, and real estate market developments across target regions
  • Identify emerging investment themes and sector opportunities
  • Governance, Risk & Compliance
  • Support compliance with MAS regulatory and CMS licence requirements
  • Work closely with compliance, finance, and legal teams to ensure proper governance and documentation standards
  • Maintain disciplined investment and operational reporting standards

Education

  • Degree in Finance, Real Estate, Business, Economics, or related disciplines
  • CFA / CAIA / MBA advantageous
  • Mandarin proficiency advantageous for Greater China stakeholder engagement

Experience

  • 5–8 years of relevant experience in:

(i) real estate investment,

(ii) asset management,

(iii) private equity real estate,

(iv) REITs,

(v) fund management,

(vi) investment banking,

(vii) or related investment environments

  • Experience across both:

(i) investment execution, and,

(ii) asset management functions preferred

Regional Exposure

  • Exposure to regional markets is advantageous, but not mandatory:
  • Experience managing cross-border stakeholders and transactions will be advantageous.

Technical Capabilities

  • Strong financial modelling and investment analysis skills
  • Understanding of:

(i) real estate investment structures,

(ii) portfolio management,

(iii) fund structures,

(iv) capital deployment strategies

  • Familiarity with MAS regulatory environment and CMS licence framework is advantageous

Behavioural Competencies

  • Commercially astute and execution-focused
  • Strong stakeholder management and communication skills
  • Able to work effectively within entrepreneurial and fast-evolving environments
  • High level of ownership, resilience, adaptability, and business judgement
  • Strong integrity, professionalism, and governance mindset

Growth Potential

This role is suitable for high-potential professionals seeking progression toward:

  • senior investment leadership,
  • portfolio leadership,
  • and potential future MAS Responsible Officer (RO) pathway within a regulated fund management platform.

Skills & Requirements

Technical Skills

Real estate investmentAsset managementPrivate equity real estateReitsFund managementInvestment bankingFinancial modelingValuation analysisInvestment feasibility studiesMarket and competitor analysisDue diligence processesDeal structuringSpvsJv partnershipsCo-investment arrangementsAsset enhancementValue creation initiativesLeasing performanceOperational kpisYield optimisationPortfolio risk exposureStakeholder managementInvestor reportingRegulatory complianceMas regulatory and cms licence requirementsGovernance and documentation standardsCommercial acumenExecution orientationLeadershipOwnershipResilienceAdaptabilityBusiness judgementIntegrityProfessionalismGovernance mindsetCfaCaiaMba

Level

Mid-Level

Posted

5/8/2026

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