Head of Investment Fund
Posted 12 hours 35 minutes ago by Mayak Real Estate
Company Overview: Mayak Real Estate is a leading real estate brokerage firm establishing a global presence, specializing in providing comprehensive real estate services across Europe, Indonesia, and the GCC/MENA region. We are dedicated to offering a seamless experience to our clients as a trusted "one-stop shop" for all their real estate needs.
Position Overview: We are seeking an accomplished Head of Investment Fund to lead our global investment activities and drive strategic initiatives across multiple continents. The ideal candidate will possess a robust investment background, deep financial expertise, and a proven track record of managing investment portfolios, driving performance, and achieving exceptional results.
Key Responsibilities:
Investment Strategy and Execution:
- Develop and execute investment strategies aligned with the firm's objectives and risk appetite.
- Lead the identification, evaluation, and execution of investment opportunities across global markets.
- Manage portfolio diversification and asset allocation to optimize risk-adjusted returns.
- Conduct regular performance reviews and portfolio rebalancing to enhance investment outcomes.
- Oversee the financial performance of investment portfolios and funds under management.
- Conduct rigorous financial analysis, including valuation, due diligence, and risk assessment.
- Monitor and analyze financial metrics and performance indicators to inform investment decisions.
- Implement cost-effective measures and efficiency improvements in fund management.
Team Leadership and Development:
- Lead and mentor a team of investment professionals, fostering a culture of excellence and collaboration.
- Provide guidance and support to enhance team capabilities in investment analysis and decision-making.
- Promote a dynamic and inclusive work environment that attracts and retains top talent.
Strategic Planning and Stakeholder Management:
- Collaborate closely with senior management and stakeholders to develop and execute strategic plans.
- Monitor market trends, competitive landscape, and industry developments to identify growth opportunities.
- Build and maintain strong relationships with investors, partners, and other key stakeholders.
- Communicate investment strategies and performance updates effectively to stakeholders.
Compliance and Risk Management:
- Ensure compliance with regulatory requirements and internal policies in all investment activities.
- Implement robust risk management practices to mitigate investment risks and protect investor interests.
- Uphold high standards of ethics and integrity in all investment decisions and interactions.
- Conduct regular audits and reviews to ensure adherence to compliance standards.
Qualifications:
- Bachelor's degree in Finance, Economics, Business Administration, or related field; MBA or CFA preferred.
- Extensive experience (6+ years) in investment management, with a proven track record of success in managing investment portfolios and funds.
- Deep knowledge of financial markets, investment strategies, and asset classes.
- Strong analytical and quantitative skills, with proficiency in financial modelling and valuation techniques.
- Excellent leadership and communication skills, with the ability to influence and collaborate effectively at all levels.
- Strategic thinker with a results-oriented mindset and a commitment to delivering superior investment performance.
Core Competencies:
- Investment Strategy and Execution
- Financial Management and Analysis
- Leadership and Team Management
- Strategic Planning and Decision-Making
- Risk Management and Compliance
- Global Perspective and Market Insight
September 13, 2024
Europe