Guardar Back to Search Descrição Resumo Ofertas Semelhantes Added 14/04/2026Strategic exposure to an international real estate portfolio with direct impactHigh‑responsibility role combining financial analysis, strategy and investor intSobre o nosso clienteOur client is a leading international real estate investment group, active across several European markets, with a strong focus on actively managed commercial assets. The company is recognised for its data‑driven approach, institutional standards and collaborative international culture, offering exposure to complex portfolios and strategic decision‑making.DescriçãoAs a Portfolio Manager, you will be responsible for the strategic management of a real estate portfolio located in Germany, working closely with international teams based in Portugal and Spain.Key responsibilities include:Develop and implement asset and portfolio management strategies to maximise value, improve returns and ensure alignment with corporate and investor objectivesMonitor portfolio performance through the analysis of operational and financial KPIs, market trends and risk indicatorsPerform advanced financial analysis, including financial modelling, asset valuations and scenario analysis to support investment and financing decisionsSupport acquisition, disposal and refinancing processes through robust financial and strategic assessmentsCollaborate closely with internal teams (Property Management, Leasing, Development, Finance and other stakeholders) to ensure execution of approved business plansManage relationships with external stakeholders, including investors, partners, service providers and regulatory bodiesPrepare high‑quality reports, presentations and recommendations for investors and internal decision‑making committees, translating complex analyses into clear and actionable insightsPerfil idealMinimum of 5 years' experience in Real Estate Investment, Asset Management or Portfolio Management, preferably within commercial real estateProven track record in managing and optimising real estate portfolios and interacting with institutional investorsAcademic background in Finance, Management, Economics or a related field (Bachelor's and/or Master's degree)Strong expertise in financial modelling, financial analysis and asset valuationAbility to interpret market data and convert it into strategic recommendationsHighly analytical, detail‑oriented and results‑driven mindsetExcellent communication, presentation and negotiation skillsComfortable working autonomously in an international and multicultural environmentFluency in Portuguese, English and German is mandatoryVantagensIntegration into a solid and growing international real estate platformHigh exposure to strategic portfolio decisions and investor interactionResponsibility for a relevant portfolio within the German market (Düsseldorf)Base in Portugal, with regular travel to GermanyStrong professional development opportunities in an international contextPesquise mais OfertasPedro BaltasarQuote job refJN-042026-6993431Resumo da FunçãoSetorPropertySubsetorGestão de Propriedade e BensAdicionar indústriaPropertyLocalizaçãoLisboaTipo de contratoIndefinidoNome do ConsultorPedro BaltasarReferência da OfertaJN-042026-6993431Tipo de trabalhoTrabalho Remoto / Híbrido