Responsibilities
Our client is an established and highly regarded international PE firm who is in a growth mode.
For this role, you are part of the Product team who is responsible for leading, coordinating and enabling a variety of activities throughout the lifecycle of various investment programs. This includes taking the lead in product launches, portfolio construction and fund winddowns.
You will take on the following responsibilities :
- Develop and launch fund products for the firm : Market mapping and analysis of existing products, product positioning and strategy, structuring by applying different modeling techniques to optimize investment returns as well as stress testing of investment products.
- Lead product launch workstreams alongside senior investment team members, including capital markets as well as private fund launches.
- Creation of quarterly fund reports, presentations, portfolio analytics, private placement memorandums and datarooms.
- Work with investment teams to develop and construct new investment programs that align market opportunities with client and prospect investment goals.
- Coordinate with a diverse group across various departments, including the Investment Team, Investor Solutions, Finance, Legal and Senior Management.
What we expect
University degree qualified, with emphasis on business administration, finance or economicsHas 1 to 5 years of relevant product strategy, product structuring or product development experience gained in banking, asset management or private marketsPrivate Markets Experience with knowledge of open and closed-end fund structures and market trends is a plusIndependent and self-directed professional who is able to effectively manage / complete complex operating tasks, proactively identify challenges and offer solutionsProven ability to work with others and generate impact in a team environment, willing to go the extra mileExcellent communication skills, both written and verbal, with the ability to adapt communication style to different audiencesMust be proficient in Microsoft applications (Word, Excel, PowerPoint), particularly using Excel for financial modelling and data analysis. Capability in statistical programming language such as R and data analytics programmes such as Python / Power BI will be preferredRequirements
Has 1 to 5 years of relevant product strategy, product structuring or product development experience gained in banking, asset management or private marketsPrivate Markets Experience with knowledge of open and closed-end fund structures and market trends is a plusCapability in statistical programming language such as R and data analytics programmes such as Python / Power BI will be preferredSelling points
The co offers good variable bonus in addition to a competitive base salaryThe co is a growth mode. It is backed by a renowned / global investment firmThe firm allows for a WFH arrangement of 1 day per weekTo apply, please send your CV in Word doc to Please also include details on your current salary, expected salary and notice period in your CV.
We regret to inform that only shortlisted candidates will be notified.
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