Job Summary:
A reputed group is seeking an experienced Investment Manager with a strong background in funds and portfolio management. The role involves evaluating and managing investment opportunities across multiple asset classes including equities, real estate, private equity, financial derivatives, and mutual funds. The ideal candidate will play a key role in shaping investment strategy, conducting financial analysis, and ensuring strong portfolio performance aligned with the group’s objectives.
Key Responsibilities:
- Identify, evaluate, and analyze investment opportunities across multiple sectors and asset classes
- Conduct in-depth financial analysis, valuation, and risk assessment
- Develop and maintain financial models to support investment decision-making
- Monitor and manage investment portfolios to ensure optimal performance
- Prepare detailed investment reports, performance reviews, and market analysis
- Develop and implement investment strategies and policies aligned with organizational goals
- Track market trends in equities, real estate, private equity, derivatives, and mutual funds
- Present investment recommendations to senior management and investment committees
- Ensure compliance with internal investment guidelines and regulatory requirements
- Work closely with stakeholders to support capital allocation decisions
Requirements:
- Minimum 10 years of hands-on experience in investment management or fund management
- Strong experience across equities, real estate, private equity, derivatives, and mutual funds
- Bachelor’s Degree in Finance, Economics, Accounting, or related field
- CFA qualification is mandatory or highly preferred
- Strong expertise in financial modeling and valuation techniques
- Proven experience in developing investment strategies and policies
- Strong understanding of portfolio management and risk assessment
- Excellent analytical, decision-making, and reporting skills
- Strong communication and presentation skills.
- Arabic Speaking.