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To support investment team in due diligence, monitoring, reporting of multi-asset portfolio of investments, and also prepare investment analyses as mandated by the Investment Manager / Investment Committee / Board.
Essential Roles and Responsibilities
Functional Roles and Responsibilities
Conduct due diligence of investments with specific focus on Private Equity funds, Direct Private Investments and Real Estate investments as well as Public Equities and also participate in one-on-one calls with Private Equity Managers to gain an in-depth understanding of the fund, its terms and alignment of interest.
Attending quarterly earnings call with management of portfolio companies, updating models and conducting analysis of results
Develop detailed as well as abridged versions of valuation models with strong emphasis on DCF models
Participate in portfolio management strategy by providing data necessary for the decision-making process
Create investment proposals clearly highlighting investment merits, risks and recommendations.
Design an easy-to-navigate dashboard for monitoring KPIs of portfolio investments
Support in post-acquisition monitoring and performance reporting work, which includes detailed review and analysis of LP reports of existing investments.
Ensure timely preparation and consolidation of reports such as daily market monitoring reports, investment performance reports (weekly / quarterly), cash management reports.
Assist in the budgeting process and reporting.
Create an investment pipeline using existing resources.
Proactively support in identifying tactical investment opportunities
Proactively support in administrative tasks such as account set-up, reviewing of subscription and LP agreements (pre-legal checks), assisting with KYC requirements, and any other assigned ad-hoc tasks.
Education / Certification and Continued Education
Graduate degree in Finance from a premier institute is a pre-requisite, although Post Graduate degree in Finance or an MBA (Finance) from a premier institute is preferred
Years of Experience
6-8 years of experience in fundamental analysis, valuation, investment diligence and reporting for a multi-asset portfolio of investments (PE, Real Estate, Public Equities)
Prior work experience with Asset Management / Private Equity Firms / Big 4 / Banks / Family Offices
Knowledge and Skills
Financial modeling skills is a key requirement should be able to connect numbers with strategy
Ability to do both quick as well as deep-dive analysis of investments across sectors and geographies
Report writing skills ability to articulate investment rational, risks and very clear and concise recommendation
Analysis of legal documents
Knowledge of Bloomberg
Proficiency in English
Knowledge of Arabic language is an advantage.
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