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Investment Manager
Abu Dhabi, United Arab Emirates · Full Time
Be the first to apply
- 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.