Nada Kalam
About
Nada Kalam is from Greater Melbourne Area. Nada is currently Associate Director - Asset Management at Lighthouse Infrastructure, located in Melbourne, Victoria, Australia. In Nada's previous role as a Manager - Engineering and Asset Management at KPMG Australia, Nada worked in until May 2021. Prior to joining KPMG Australia, Nada was a Business Consultant and Assistant Practice Manager at MetaPM and held the position of Business Consultant and Assistant Practice Manager.
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Nada Kalam's current jobs
Associate Director of Asset Management within the Investment Team, reporting directly to the Executive Chairman and Managing Director (Asset Management) of Lighthouse Infrastructure Management Limited (LIML). • Responsible for managing assets of the Lighthouse Funds and supporting the origination and transaction activities of Lighthouse. • For construction/expansion projects, oversee construction and commissioning progress and participate in periodic project steering meetings to ensure that the investment business plan is being achieved. • Oversee achievement of Final Completion and commissioning of projects through review of construction milestone achievements and completion certification, and associated contractor payments including management, negotiation and settlement of variations, liquidated damages and any disputes. • Drive value and mitigate risks on assets by managing services provided by Asset Management and O&M contractors including services of third parties. • Maintain critical stakeholder and any co-investor relationships. • Authorise operating and capital expenditure and payment functions (during and post construction), regulatory and tax lodgments with the Finance and Operations team. • Provide input to annual budgets set by asset managers for assets. • Co-ordinate and lead quarterly asset board meetings or management briefings and integrate financial performance headlines into quarterly report to LIML Board by securing asset reporting information from third parties. • Lead valuation process for assets, including (annual) independent valuation and co-ordination of and any expert forecast work and roll-forward of monthly unit pricing with the Finance and Operations team. • Co-ordinate preparation of reporting to fund investors including preparing relevant sections on asset performance and reviewing sections on asset pipeline, ESG initiatives and financial performance. • Contribute to ongoing SDG design, assessment and measurement activities.