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Investment Manager

Emirates Investment Authority

Abu Dhabi, United Arab Emirates · Full Time

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Experience
10+ yrs
Salary
Openings
1
Posted
1 week ago
Work mode
In office
Education
Bachelor's degree
Eligibility
Experienced investment professionals with a background in institutional asset management, manager research, portfolio construction, or alternative strategies may apply.
Resume
Required to apply

Where you'll work

Job description

Role overview

The Investment Manager will be responsible for sourcing, assessing, structuring, and overseeing external investment managers across absolute return and equity-related strategies. The role focuses on improving portfolio resilience, redirecting capital toward higher-alpha opportunities, and supporting active oversight of the asset management platform.

Key responsibilities

  • Build the manager pipeline by identifying, sourcing, and reviewing global investment managers across alpha transport, market neutral, equity extension, and hedged equity strategies.
  • Maintain productive institutional relationships with consultants, peer organizations, and investment managers.
  • Spot diversification opportunities to reduce concentration in single managers.
  • Carry out independent investment, operational, and risk due diligence.
  • Create and evaluate detailed financial models and performance attribution analyses.
  • Judge the durability of a strategy’s alpha, its capacity to scale, and its overall robustness.
  • Review portfolio construction, factor exposures, liquidity, and risk controls.
  • Prepare investment papers and memoranda for internal approval processes.
  • Design and negotiate managed accounts and fund allocation structures.
  • Drive execution from approval through funding, working closely with Legal, Operations, and Risk teams.
  • Manage capital deployment for ring-fenced allocations, including large allocations such as USD 600m alpha transport and USD 200m mandates.
  • Track performance, risk, and alpha generation across the manager roster.
  • Review manager reports and fair value estimates, and conduct regular strategy diagnostics.
  • Address underperformance through formal engagement plans, and recommend exits, reallocations, or mandate changes when needed.
  • Present recommendations to investment committees and prepare recurring performance and attribution reports.
  • Ensure documentation is aligned with governance and audit requirements.
  • Maintain records of both prospective and rejected investments.
  • Guide Investment Analysts and share technical expertise to build team capability.
  • Support knowledge development in absolute return and alpha transport strategies.
  • Help reduce key-person dependency and strengthen overall team resilience.

Requirements

  • Bachelor’s degree in Finance, Economics, Business, or a related field.
  • Postgraduate qualification such as an MBA is preferred.
  • CFA or an equivalent professional designation is strongly preferred.
  • At least 10 years of institutional investment experience.
  • Proven background in manager selection and portfolio construction.
  • Hands-on experience with absolute return, alpha transport, market neutral, and equity extension strategies.
  • Prior work involving managed accounts and mandate structuring.
  • Experience gained in sovereign wealth funds, pension funds, asset managers, or institutional investment consulting firms.
  • Strong financial modeling and performance attribution skills.
  • Good understanding of portfolio construction and risk-adjusted return analysis.
  • Familiarity with hedge fund and alternative strategy structures.

Additional information

This is a full-time on-site position based in Abu Dhabi, Abu Dhabi Emirate, United Arab Emirates.

No salary, stipend, application deadline, start date, or vacancy count was specified in the source.

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