The Real Estate Portfolio Manager is primarily responsible for conducting risk analysis of qualified income producing real estate projects as well as industry research and analysis pertaining to the real estate segments. Responsibilities Conducts bi-annual market studies and feasibility analysis to flag opportunities and risks in the real estate sector, especially income-producing assets Uses data to evaluate BPI's exposure across property types, locations, and asset cycles - with a focus on risk outlook and operational decision-making Reviews large-scale credit proposals, validating key assumptions, and advising on creditworthiness based on market dynamics and internal data Organizes briefings for internal teams and maintaining active communication with external market experts Coaches direct reports and ensuring skill development and career progress within the bank Qualifications Bachelor's Degree in Economics, Business Administration and other related field Minimum of 2 years Corporate Credit Analysis, Real Estate / Property Research, or Relationship Management With background in Report Writing Has Strong analytical skills with good grasp of financial analysis Able to understand risk drivers of the real estate and property markets With experience in database development and management Advanced knowledge of MS Office Show more Show less