Posted by
Posted in
Banking & Finance
Job Code
1694868

Description :
1. Investment Strategy & Leadership :
- Identify emerging market opportunities across asset classes (equities, fixed income, structured products, alternatives)
- Provide thought leadership on macroeconomic trends and market outlook
2. Portfolio Management :
- Oversee portfolio construction, asset allocation, and rebalancing strategies
- Ensure optimal diversification and alignment with fund mandates
- Continuously monitor portfolio performance and take corrective actions
3. Research & Analysis :
- Lead in-depth fundamental and quantitative research across sectors
- Evaluate investment opportunities, including direct deals and structured investments
- Maintain strong due diligence frameworks
4. Risk Management & Compliance :
- Establish robust risk management practices and ensure adherence
- Work closely with compliance teams to align with regulatory guidelines (SEBI / AIF norms)
- Monitor market, credit, and liquidity risks
5. Team Leadership :
- Build, mentor, and lead a high-performing investment team
- Foster a culture of accountability, innovation, and performance excellence
6. Investor Relations & Stakeholder Management :
- Engage with HNIs, family offices, and institutional investors
- Present fund performance, strategy, and outlook to stakeholders
- Support fundraising initiatives and product positioning
Key Requirements :
- MBA / CFA / CA or equivalent qualification
- 12- 18 years of experience in asset management, PMS, AIFs, or alternative investments
- Strong track record of managing large investment portfolios
- Deep understanding of Indian financial markets and regulatory environment
- Proven leadership and team management experience
- Excellent analytical, communication, and decision-making skills
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Posted by
Posted in
Banking & Finance
Job Code
1694868