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Fund Manager

Remote/Anywhere in the world 

About Role

We are looking to onboard a fund manager with expertise in Shari’ah compliant and conventional money market and fixed income funds. The primary responsibilities include analyzing, selecting,trading, and monitoring fixed-income securities. The candidate should be able to execute deals with different brokers and traders across the market for the instruments to optimize return, and should be aware of tax implications while making informed investment decisions. The individual should be well versed with the processes of fund launch, investment, withdrawals, redemptions also ensure user communications are done correctly with respect to the investment and withdrawal process.

Additional Responsibilities

  • Design and implement strategies to maximization / optimization income and capital gains.

  • Reporting & presenting to the investment committee & work closely with other departments.

  • Product research and trend analytics for new fund development and launch.

  • Monitor and analyze portfolio and portfolio securities.

  • Managing portfolio risk including credit exposures, liquidity and market risk.

  • Being the first layer of controls, ensuring regulatory limits and compliance matters are met.

  • Managing day-to-day operations regarding the portfolio.

  • Fund documentation, reporting and MIS.

  • Calculating ex-post statistics.

  • Guide investors where required and preparing investor reports if required

Experience and Education

  • At least 5 years of experience in the field of finance, with at least 3 years of fund management experience in law, finance, business or other relevant field.

  • Education in finance, business or a relevant field is preferableAt least 5-7 years of compliance experience, with at least 3 years in financial services/ financial markets.

  • Having done CFA up to level 2 will be beneficial.

Skills and Competencies

  • Financial modelling and security valuation.

  • Strong communications skills to coordinate with internal and external stakeholders.

  • Should have extensive knowledge of financial markets and instruments, and regulations.

  • High level of integrity and ethical standards.