CapitaLand Investment

Manager/Associate Director, Listed Funds-Investor Relations

CapitaLand Investment
Real Estate InvestmentSingapore, Central SingaporeOnsitePosted 1 week ago

About the role

Manager/Associate Director responsible for investor relations for listed funds at CapitaLand Investment, including strategic communication, stakeholder engagement, market intelligence, and compliance.

Real Estate InvestmentOnsite

Key Responsibilities

  • Strategic Communication: Draft and coordinate release of quarterly earnings materials, annual and interim reports, and investor presentations. Prepare management for earnings calls, investor meetings, and conferences. Ensure public disclosures comply with regulatory standards. Craft narratives around company strategy and financial health.
  • Stakeholder Engagement: Serve as primary contact for institutional and retail investors, sell-side and buy-side analysts. Respond to investor inquiries accurately and timely. Coordinate non-deal roadshows, investor days, site visits, and conference participation. Develop and maintain investor database. Manage IR budgets.
  • Market Intelligence and Analysis: Monitor industry trends, competitor performance, and macroeconomic developments. Perform peer group analysis. Provide reports and insights to executive management. Analyze sell-side research and earnings forecasts. Identify shifts in investor base.
  • Disclosure and Compliance: Ensure all investor communications comply with securities laws and stock exchange requirements. Coordinate timely filing of regulatory documents. Implement best practices in disclosure, crisis communications, and corporate governance. Work with legal and finance teams on insider information handling.
  • Relationship Management: Build trust with investment community. Maintain dialogue with key unitholders. Help manage perceptions during corporate changes.
  • Internal Collaboration: Work with management, portfolio management, investment, finance, communications, and legal teams. Advise leadership on market perceptions and communication risks.

Requirements

  • Bachelor's degree in Finance, Business, Communications, or related field
  • Experience in investor relations, financial communications, or related role
  • Strong understanding of securities laws and stock exchange regulations
  • Excellent communication, presentation, and writing skills
  • Ability to manage multiple stakeholders and work cross-functionally
  • Analytical skills for market intelligence and financial analysis