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355
Applications:  168
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Job Code

1457275

Investment Manager - Private Equity

8 - 12 Years.Mumbai
Posted 1 month ago
Posted 1 month ago

Position Overview :


- The Investment Manager is responsible for identifying, analyzing, and executing investment strategies in both Unlisted market & Listed Markets. This role requires a comprehensive understanding of financial markets, strong analytical skills, and the ability to make informed investment decisions that align with the organization's financial goals.


- The Investment Manager will work closely with other financial professionals to manage and grow investment portfolios, ensuring optimal performance and risk management. Investment Manager will be required to source Transaction for Alternative Investment Fund ( AIF - Catgory1 ).

Key Responsibilities :

Investment Strategy Development:

- Develop and implement investment strategies for Unlisted, Pre IPO & Startup stocks.

- Take investor pitch meetings with entrepreneurs, evaluate investments, and track deal flow

- Conduct thorough market research and analysis to identify trends, opportunities, and risks.

- Stay updated with global economic and market developments to inform investment decisions.

Stock Analysis and Selection:

- Identify and evaluate potential investment opportunities in Unlisted Listed stocks.

- Perform detailed financial analysis, including valuation, financial modeling, and forecasting.

- Assess the financial health, management quality, and competitive position of target companies.

Private Equity and Listed Investments:

- Source and evaluate investment opportunities for Listed, Unlisted, Pre IPO & Startup stocks.

- Conduct due diligence, including market research, financial analysis, and risk assessment.

- Develop and maintain relationships with venture capital firms, private equity partners, and other key stakeholders.

Portfolio Management:

- Monitor and manage investment portfolios to ensure alignment with investment strategies and objectives.

- Perform regular performance reviews and rebalancing of portfolios as needed.

- Implement risk management strategies to protect and enhance portfolio value.

Reporting and Communication:

- Prepare and present detailed investment reports to senior management and stakeholders.

- Communicate investment strategy, rationale, and performance to clients and stakeholders.

- Ensure compliance with regulatory requirements and internal policies.

Team Collaboration and Leadership:

- Work collaboratively with other investment professionals and departments.

- Contribute to the development of a high-performance investment team culture.

Qualifications:

- Bachelor's degree in Finance, Economics, Business, or related field (Master's degree or CFA designation preferred).

- Proven experience in investment management, with a strong track record in listed and unlisted markets.

- In-depth knowledge of financial markets, investment strategies, and portfolio management.

- Strong analytical and quantitative skills, with proficiency in financial modeling and analysis.

- Excellent communication and presentation skills.

- Ability to work independently and make informed decisions under pressure.

- Strong networking and relationship-building skills.

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Posted By

Job Views:  
355
Applications:  168
Recruiter Actions:  0

Job Code

1457275

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