- Experience
- 8–12 yrs
- Salary
- USD 260,000 / year
- Openings
- 1
- Posted
- 16 часов назад
- Work mode
- Work from home
- Education
- Master's or PhD in Finance, Mathematics, Physics, or related quantitative discipline
- Resume
- Required to apply
Job description
About RGG Capital
RGG Capital is a family office based in Dubai that invests its own capital into hedge funds, liquid alternatives, and systematic strategies. The firm emphasizes a focused, research-driven approach where analytical rigor and independent judgment are paramount. The team is small, with direct access to decision-makers and minimal bureaucracy.
Role Overview
We are seeking an Investment Director to spearhead investment research and oversee the complete investment process. This position involves collaborating closely with senior leadership to strengthen research capabilities, streamline portfolio operations, and promote analytical excellence within the investment team. The role demands extensive market expertise paired with operational discipline and offers significant autonomy.
Key Responsibilities
- Lead due diligence efforts by sourcing, screening, and evaluating investment opportunities across various strategies and regions.
- Perform comprehensive analyses of fund performance, investment methodology, risk factors, and management team quality.
- Maintain ongoing communication with investment managers to track strategy developments, performance attributions, and organizational health.
- Coordinate the complete due diligence lifecycle by working with internal stakeholders, maintaining trackers, ensuring timely updates, and compiling thorough investment memoranda for senior executives.
- Conduct macroeconomic research and market evaluations by monitoring data, central bank policies, and geopolitical events to understand impacts on markets and asset classes.
- Identify critical trends and create scenario analyses to guide investment decisions and portfolio positioning.
- Prepare periodic briefings and actionable insights reports for senior leadership.
Required Qualifications
- 8 to 12 years of professional background in investment management, including fields such as research, portfolio management, or institutional asset allocation.
- Comprehensive knowledge of financial markets and sophisticated financial instruments.
- Advanced academic credentials (Master's or PhD) in Finance, Mathematics, Physics, or a quantitative discipline.
- Programming proficiency in Python aimed at investment analysis and portfolio management.
- Outstanding research capabilities and excellent written communication skills.
- Demonstrated experience coordinating and managing complex projects within multi-stakeholder investment settings.
- Familiarity with Bloomberg Terminal and other leading investment analysis software.
Preferred Qualifications
- Professional certifications such as CFA or CAIA.
- Additional programming skills, including R and SQL.
- Experience with emerging markets investments.
- Established track record in portfolio management.
Compensation and Benefits
The annual compensation package can reach up to 260,000 US dollars, supplemented by monthly performance bonuses and comprehensive benefits.