Posted by
Posted in
Banking & Finance
Job Code
1697134

Finance Manager - Family Office (Investment & Portfolio Management) - AI Enabled
Location: Mumbai
Experience: 3-5 Years
Joining: Immediate Preferred
About Chokhani Group:
Chokhani Group of Companies is a legacy-driven, multi-sector conglomerate with a distinguished footprint across: Pharmaceuticals - Poultry Feed Supplements - Corporate Finance - Infrastructure - Technology - Farming - Warehousing With decades of enterprise heritage, we are now expanding our Family Office and NBFC verticals - building a forward-looking financial ecosystem driven by innovation, discipline, and long-term value creation.
www.chokhanigroup.in
Role Overview:
We are seeking a high-caliber Finance Manager to lead the Family Office's investment and portfolio management function. This is a strategic, growth-oriented role for professionals who are driven by learning, ownership, and long-term wealth creation - beyond just compensation.
The incumbent will manage and scale the family office portfolio across diverse asset classes, structure new investment products, and play a pivotal role in NBFC product innovation and capital strategy.
Key Responsibilities:
Investment Management:
- Manage a multi-asset portfolio spanning Equity, Debt, Real Estate, REITs, InvITs, Private Equity, and Structured Products.
- Conduct rigorous financial, risk, and valuation analysis of existing and prospective instruments.
- Build and maintain relationships with fund managers, wealth advisors, and institutional partners for deal sourcing and performance reviews.
- Oversee fund flows, cash deployment, liquidity management, and portfolio diversification.
Strategy & Product Development:
- Identify, structure, and launch innovative investment instruments to strengthen the family office's financial ecosystem.
- Drive the design of new NBFC products, bonds, and structured notes aligned with capital efficiency goals.
- Partner with external advisors on compliance, taxation, and fund structuring strategies.
Portfolio Monitoring & Reporting:
- Deliver regular performance analytics, benchmarked against relevant market indices.
- Build executive dashboards to track asset allocation, NAV movement, IRR, and risk-adjusted returns.
Governance & Compliance
- Ensure full adherence to RBI, SEBI, FEMA, and other regulatory frameworks.
- Monitor operational, credit, and risk metrics across NBFC and allied entities.
Qualifications & Experience:
Education (Preferred):
- Chartered Accountant (CA), CFA (India / Global), or MBA (Finance / Investments)
- Alternative: Degree in Mathematics, Engineering, or Computer Science with strong finance exposure
Experience:
- 3-5 years in investment management, corporate finance, family office, or NBFC treasury functions
- Hands-on exposure to alternative investments (AIFs, REITs, InvITs, PE) and portfolio analytics
- Strong command of financial modeling, valuation, and market due diligence
Core Skills & Competencies:
- Sharp analytical and quantitative acumen
- Proficiency in financial modelling tools and investment platforms
- Established network of fund managers and product specialists
- Excellent written and verbal communication skills
- High integrity, ownership, and discretion in managing sensitive financial information
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Posted by
Posted in
Banking & Finance
Job Code
1697134