
Job Description:
Head of Systematic Investing (India)
Structure: SEBI Category III AIF (Absolute Return Fund)
Location: Mumbai
Reporting To: Investment Committee/Founder
Role Summary:
We are launching a series of systematic investing AIFs starting with an Absolute Returns Fund and are seeking a high-caliber Head of Systematic Investing to build and lead the systematic investment platform. The idea is to build a scalable quant platform that can manage funds with different risk reward parameters as per client needs.
This role combines:
- Design of multiple systematic strategies and products in time
- Strong portfolio management with risk adjusted returns
- Institutional-grade risk oversight
- Fund architecture design
- Investor engagement and AUM scale-up along with the sales team
- Team and platform building
The ideal candidate brings a proven Indian equity track record and an entrepreneurial mindset to build a differentiated alternatives platform.
Key Responsibilities:
Investment Strategy and Portfolio Management:
- Design and execute systematic strategies such as absolute returns, long short, quant, algorithmic, options-oriented market neutral etc.
- Define gross/net exposure ranges and leverage framework.
- Deliver consistent alpha with disciplined drawdown control.
Architecture and Research:
- Ensure platform is capable of onboarding PMs with different strategies (MN, Options led, directional etc.)
- Put research framework in place, to which new PMs can latch on, and add to.
- Co creating tech infrastructure for the platform.
Allocation and Risk Management:
- Allocate fund AUM to different strategies.
- Identify strategy mix for funds, to suit client needs.
- Ensure adherence to SEBI Category III AIF regulations.
- Monitor leverage, liquidity, sector exposure, and concentration limits.
- Establish portfolio risk dashboards and stress-testing framework.
- Coordinate with compliance, fund administrators, custodians, and auditors.
Platform and Team Building (Founding Mandate):
- Evaluate and hire PMs as the platform grows.
- Ongoing evaluation of PM strategy performance.
- Act in the capacity of a PM.
- Implement risk systems, OMS/PMS infrastructure.
- Contribute to PPM drafting and investment mandate articulation.
Communication and Fundraising:
- Work on creating and sharpening our pitch for clients.
- Periodic outgoing communication regarding fund level performance and environment.
- Support long-term AUM scale-up strategy.
Candidate Profile:
- 10 - 18+ years in Indian equity markets.
- Demonstrated alpha generation (long/short preferred).
- Quant skills: ability to build and evaluate strategies.
- Strong derivatives and hedging expertise.
- Best in class quantitative skills.
- Experience in AIF / PMS / hedge fund / proprietary desk preferred.
- Prior PM experience.
- Strong network across brokers, allocators, and institutional ecosystem.
What Makes This Opportunity Unique:
- Founding leadership role in a new Category III AIF.
- Opportunity to shape investment DNA from inception.
- Platform-building mandate, not just portfolio management.
- Ability to build a strong team and reputation.
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