Portfolio Manager
- Formulate and drive investment strategy and asset allocation decisions, making investment calls directly and ensuring transactions are executed accurately and on time.
- Lead comprehensive due diligence on prospective investment opportunities — reviewing offering documents, financial statements, and regulatory filings — and make the final investment decisions.
- Continuously monitor portfolio and fund performance and risk, assess market impact, and adjust strategy as needed to optimise returns.
- Oversee the tax and legal frameworks for operating and investment entities, ensuring they are tax-efficient and legally sound; guide cost-benefit analysis and tax optimisation to balance efficiency and compliance.
- Collaborate with internal teams to streamline financial transactions and improve operations and workflows.
- Produce periodic portfolio analysis and report performance, key developments, and recommended adjustments to senior management or the investment committee.
- Build and maintain partnerships with third-party vendors and industry partners, identifying synergies and strategic alliances to support business growth and organizational objectives.
- Stay current on industry trends through active engagement with the market, including participation in relevant conferences and meetings across the region.