The role, based in Abu Dhabi, within the portfolio strategy team would report to the Senior Vice President, looking at investments across geographies and asset classes. You will be involved in the development and implementation of the portfolio\'s capital allocation strategy.
Primary responsibilities will include:
Assist in the development and implementation of the portfolio\'s capital allocation strategy
Monitor developments in capital market expectations and provide research into new investment ideas
Perform analysis, research and due diligence on investment management firms and assist in conducting manager searches
Gather key inputs to set the risk model and complete scenario-based optimization of the portfolio
Assist with the due diligence of hedge funds based on quantitative and qualitative analysis
Market Leading Compensation|Excellent Career Progression
Be willing and able to relocate to Abu Dhabi, UAE
Bachelor degree in finance, economics and relevant quantitative subjects
Master degree from a top tier higher education institution is a plus
Additional CFA qualification is an advantage
Minimum of 4 years of experience in roles that involve strategy, finance, asset allocation and fund management
Familiarity with and competence in portfolio management tools and concepts
Familiarity with hedge fund strategies and different operating models within investment firms
Excellent quantitative and analytical skills
Our client is one of the largest Sovereign Wealth Funds in the region
Market leading compensation
Opportunity to work with one of the world\'s largest SWFs