Intern, SEA Fund Management

Reposted 13 Days Ago
Be an Early Applicant
Singapore, SGP
In-Office
Internship
Logistics • Real Estate
The Role
Support fund and portfolio management activities including reporting, dashboard updates, cash flow tracking, and investor materials. Assist with transaction due diligence, data-room organization, comparable analysis, investment papers, and research on opportunities and counterparties.
Summary Generated by Built In

1. Fund & Portfolio Management

  • Assist with monthly/quarterly fund performance and portfolio reporting
  • Update portfolio dashboards
  • Assist in updating, tracking and reviewing asset level and fund-level cash flows, capital calls and distributions
  • Assist with preparation of quarterly investor reporting materials

2. Transaction & Due Diligence Support

  • Assist with due diligence for new investments / divestments
  • Organise and review information from data rooms
  • Prepare transaction summaries and comparable analysis
  • Support preparation of investment papers and presentations
  • Conduct research on potential investment opportunities and counterparties

Benefits
  • Understand how a real estate fund operates — gain an end-to-end understanding of fund structure, investment strategy, portfolio management, asset-level operations and the fund lifecycle.
  • Learn investor / fund reporting — understand the process behind capital calls, distributions, investor reporting and preparation of fund management materials.
  • Develop financial modelling skills — build practical experience in Excel, cash flow forecasting, investment returns, IRR / equity multiple analysis, sensitivities and scenario analysis.
  • Develop analytical and problem-solving skills — learn to interpret financial and operational data, identify key trends / variances and translate findings into actionable insights.
  • Develop attention to detail and execution discipline — understand the importance of data accuracy, reconciliation, documentation and timely delivery in fund management.
  • Gain cross-functional exposure — understand how investment, asset management, finance, tax, legal and external advisers work together to manage a real estate fund.

Skills Required

  • Proficiency in Excel and financial modeling (cash flow forecasting, IRR, equity multiple, sensitivities)
  • Ability to prepare and update fund and portfolio reporting and dashboards
  • Experience or ability to support transaction due diligence and organize data rooms
  • Strong analytical and research skills to evaluate investment opportunities and counterparties
  • Attention to detail, documentation, and execution discipline for reconciliations and investor materials
  • Ability to prepare investment papers, presentations, and comparable analyses
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The Company
HQ: Colchester
1,454 Employees

What We Do

ESR is a leading Asia-Pacific real asset owner and manager focused on logistics real estate, data centres, and energy infrastructure that power the digital economy and supply chain for investors, customers, and communities. Through our fully integrated real asset fund management and development platform, we strive to create value and growth opportunities for our global portfolio of investors. We offer our customers modern space solutions to realise their ambitions across Australia and New Zealand, Japan, South Korea, Greater China, Southeast Asia, and India, including a presence in Europe. Our purpose, Space and Investment Solutions for a Sustainable Future, drives us to manage sustainably and impactfully for the communities we serve to thrive for generations to come.

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