An international investment advisory and wealth management firm is seeking a proactive Investment Manager to support its global investment activities. Youll work closely with the CEO on portfolio monitoring market analysis and investment strategy across global public markets with a focus on European and US securities.
Responsibilities:
Monitor multi-asset portfolios with a focus on public markets (equities fixed income etc.)
Track macroeconomic and market trends to support tactical investment decisions
Conduct financial analysis and contribute to asset allocation and investment positioning
Prepare internal reports performance updates and market commentaries
Support due diligence on new investment opportunities including private equity and alternatives (optional)
Collaborate directly with senior leadership on investment strategy and execution
Take initiative in identifying market inefficiencies and proposing actionable investment ideas
Requirements:
Degree in Finance Economics or a related field
Relevant certifications (e.g. CFA CAIA) are advantageous
Minimum 5 years of relevant experience in investment management wealth advisory or a family office environment
Strong understanding of financial markets across geographies and sectors
Solid background in portfolio construction financial analysis and investment due diligence
Generalist mindset with the ability to evaluate a wide range of asset classes
Comfortable in an entrepreneurial/startup environment - flexible proactive and adaptable
Professional fluency in English; additional languages are a plus
Must be based in Dubai or open to relocation
An international investment advisory and wealth management firm is seeking a proactive Investment Manager to support its global investment activities. Youll work closely with the CEO on portfolio monitoring market analysis and investment strategy across global public markets with a focus on European...
An international investment advisory and wealth management firm is seeking a proactive Investment Manager to support its global investment activities. Youll work closely with the CEO on portfolio monitoring market analysis and investment strategy across global public markets with a focus on European and US securities.
Responsibilities:
Monitor multi-asset portfolios with a focus on public markets (equities fixed income etc.)
Track macroeconomic and market trends to support tactical investment decisions
Conduct financial analysis and contribute to asset allocation and investment positioning
Prepare internal reports performance updates and market commentaries
Support due diligence on new investment opportunities including private equity and alternatives (optional)
Collaborate directly with senior leadership on investment strategy and execution
Take initiative in identifying market inefficiencies and proposing actionable investment ideas
Requirements:
Degree in Finance Economics or a related field
Relevant certifications (e.g. CFA CAIA) are advantageous
Minimum 5 years of relevant experience in investment management wealth advisory or a family office environment
Strong understanding of financial markets across geographies and sectors
Solid background in portfolio construction financial analysis and investment due diligence
Generalist mindset with the ability to evaluate a wide range of asset classes
Comfortable in an entrepreneurial/startup environment - flexible proactive and adaptable
Professional fluency in English; additional languages are a plus