Our client provides asset and liability management services around infrastructure, climate & nature investments. They are seeking a Senior Investment Manager which provides a unique opportunity for a talented and motivated individual to join a well-known team and to gain exposure to the highest standards of the investment management industry.
The candidate will play a key leadership role in the team.
All members of this are required to remain flexible to respond to the dynamic nature of the mandate – this may require team members to apply their skills outside of their core areas of responsibility, from time to time.
The ideal candidate will:
Have a third level qualification in Finance, Economics, Accounting, Science, Engineering, or a related discipline; Advanced degree, and/or CFA designation are helpful.
Demonstrate a keen and well-informed interest in investment, including knowledge of Private Markets from both a Fund and Direct investment perspective.
Duties:
Investment Strategy: Ongoing development, refinement and implementation of comprehensive Private Assets investment strategies to meet the Fund’s mandate across key Private Markets asset classes (Private Equity, Private Credit, Infrastructure and Real Estate).
Manager selection: Define and run the process to select and establish key partnerships with investment managers and advisors, execution of IMA/partnership agreements and ongoing monitoring of their performance
Private Markets Operations & Oversight: Responsibility for the effective operational management of the Private Assets portfolio, including oversight of capital calls and distributions, valuations, cash-flow forecasting, performance measurement, reporting, data integrity, and coordination with internal operations, finance, risk and external service providers to ensure robust controls and efficient portfolio administration.
Holistic Portfolio Management: Responsibility for total portfolio considerations implementing the Long-Term Strategy for each Fund across both privates and publics.
Market Analysis: Conduct detailed private market financial analysis to identify and assess specific investment opportunities and risks.
External Manager Research: Conduct detailed research on external private markets managers and fund offerings
Management of the overall performance and risk of the mandates, in particular in relation to the Private Assets investments, in line with appropriate benchmarks.
Stakeholder Communication: Communicate effectively with stakeholders, including external partners and government officials.
Requirements:
Minimum 10 years’ experience in investment/fund management or equivalent environment.
Experience developing and delivering strategies involving input from, and coordination across, multiple stakeholders.
Experience/track record of manager selection and investment execution in private markets, ideally including familiarity with LPA structure and negotiation of other key deal documentation.
Experience of Investment monitoring and management.
Experience of direct investments and exposure across multiple Private Markets asset classes an advantage.
Experience in public markets investments an advantage
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