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Job Code
1450887
Role: Fund Manager // Portfolio Manager - Global Markets
Company: Unifi Investment Management LLP, Gift City
Location: GIFT City, IFSC
Unifi Capital Private Limited (UCPL) is a leading portfolio management service provider with an AUM of > $ 3 billion. Building on a 22-year legacy of continuous focus to deliver exceptional value to clients. Headquartered in Chennai, Tamil Nadu, with offices in Mumbai, Delhi, Bengaluru, Hyderabad, Kolkata, and Ahmedabad.
Unifi Investment Management LLP ("UIML") is a ~100% subsidiary of UCPL. UIML is registered with the International Financial Services Centres Authority (IFSCA) as a fund management entity (FME) under the IFSCA (FM) Regulations, 2022. UIML has launched a Category III AIF for the inbound investment for foreign & NRI investors with a Cat-I FPI license in India and is also servicing another FPI for its India-centric strategy as an advisor.
UIML is launching an outbound fund to invest in global equities listed in the US and is inviting applications for the position of fund manager. The core philosophy of Unifi is to invest in growth at a reasonable price "GARP" and the fund manager would be responsible for creating and managing the investment funds according to the fund's objectives.
Role & Responsibilities:
- The Fund Manager will be responsible for the creation and managing of the PMS / AIF fund in Global markets and generate alpha.
- Lead the team of analysts/associates to produce cutting-edge research to support portfolio management.
- The candidate should have experience in fund management & research in global markets, primarily in developed western countries.
- The candidate should have a sound understanding of economics and should have covered multiple sectors.
- He should be able to carry out or lead the team to do market/industry/company research independently to find investment opportunities for investments.
Competencies:
- Strong analytical/leadership skills and portfolio management.
- Experience with Bloomberg / other equity / MF data sources.
- High level of self-motivation to work and passion for equity investing.
Qualification:
- Post-graduate candidates. MBA-Finance/ CA with 6-7 years of experience in fund management / global markets.
- CA / CFA candidature is an added advantage.
- Understanding of investment principles and asset classes.
- Strong ability to find inflection in businesses leading to superior earnings growth.
- Strong quantitative skill set with the ability to analyze complex data.
- Excellent problem-solving capabilities and attention to detail.
- Strong verbal and written communication skills.
- Ability to work collaboratively in a fast-paced environment.
Compensation: As per industry standards with potential for significant performance-based upside.
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Posted By
793
JOB VIEWS
202
APPLICATIONS
129
RECRUITER ACTIONS
See how you stand against competition
Pro
View Insights
Posted in
Banking & Finance
Job Code
1450887
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