Private Equity and Real Estate Portfolio Manager recruitment
The Arizona State Retirement System (ASRS) seeks a Portfolio Manager of real estate and private equity commingled fund investing. Fund Investment Program Responsible for devising an implementation program identifying investment themes for fund investment selection. The implementation program will consider existing portfolio exposure along with macro-economic issues to identify near term investment focus. Through networking, research and interface with the asset class consultant will maintain a continuous awareness of funds in the fund raising process. Recommends funds for investment Read more […]
Private Equity – Beijing – Associate/Vice President/Senior Vice President recruitment
Associates: • Perform industry/sector and company analysis, and company due diligence to support potential investment opportunities • Build financial models for valuations and financial return analysis • Identify, evaluate and execute investment opportunities • Prepare investment proposals for the different stages of a project for presentation to the Investment Committee for consideration Assistant Vice President/ Vice President • Perform both sourcing and execution for transactions in China • Review financial models and analysis • Supervise associate work • Assist Read more […]
Investment Analyst recruitment
This Private Equity Fund of Funds investor has a tremendous track record and is now seeking an additional Investment Analyst, to assist in carrying out detailed analysis and research and contribute to the overall investment process. Responsibilities/Job -Working as part of a small, highly qualified team of 8 people, you will focus on:• assisting in the evaluation of new investment opportunities;• working across regions and sectors, which may include economic, political, or legislative analysis;• maintaining up-to-date information on the managers and investments in the portfolios; and• assisting Read more […]
Private Equity – Managing Director, Hong Kong Asia recruitment
The Private Equity arm of a leading global financial institution with over $7 Billion of funds in Asia is seeking a Director with extensive Private Equity Investments experience into the Asia Pacific region.The right candidate will have full deal life-cycle experience as well as operational experience working with senior management teams on strategy, financing and auditing. This is a great opportunity to join a market leader in Asia on a newly raised Infrastructure fund and be the first senior team member on-board with the opportunity to grow an investment team below you. You will have an outstanding Read more […]
Associate, Newly Launched Cleantech Venture Fund, London – 2931 /9D recruitment
Recruiter’s Reference: 2931 /9DAbout our clientOur client sits within a wider natural resources group and focuses on making cleantech and renewable energy investments. It has significant capital and appetite to invest globally.Responsibilities As an associate, you will be responsible for the execution of new transactions. This will include making strategic and financial analysis on acquisitions, assessing key drivers, undertaking due diligence and the structuring and negotiation of the deal. You will focus on creating an investment portfolio and working closely with technology and innovation Read more […]
VP / SVP – PRIVATE EQUITY – BEIJING recruitment
Beijing basedVP / SVP LEVELMandarin essentialOur client is an active participant in Private Equity and have an impressive record in the region managing Billions of dollars in Investments. Their current requirement is for a VP with between 6-8 years of experience in Investment Banking or Private Equity who will be responsible for business development, due diligence and research of new investments across China. You will have qualifications in Business Management, Finance or Accounting and ideally you would have completed the CFA program. You must have excellent communication and presentation skills Read more […]
Assistant Risk Manager – Buy Side recruitment
This role will play a key part in performing risk analysis for the portfolios across proprietary / principal investments, asset management, and fund management. Job Functions/ Responsibilities: The successful candidate is mainly responsible for performing risk management for investments and portfolios in private equity, structured finance, convertibles, long only funds, hedge funds etc. Identify, measure, monitor and report relevant risks (i.e. investment / market / credit risks, etc.) in deal and fund / portfolio levels; subsequently, manage the risks actively. Perform new investment analysis Read more […]
Strategy Manager, Media Business recruitment
Our client is a leading media business, who are now looking to add a Strategy Manager to their team. The position, reporting to the Head of Strategy, will take a senior role in the formulation of strategy for the development of the business, and the implementation of strategy across the group. You will work with cross functional teams, building relationships with internal and external parties and project manage strategic initiatives across the group. You can also expect to supervise small teams and work with commercial management in other areas providing strategic initiatives.Candidates Read more […]
Private Equity – Vice President – Consumer/Healthcare/Tech/Financial – Hong Kong, Asia recruitment
This is an excellent opportunity to join a top-tier Private Equity firm focused on Growth and Buyout investments into the Consumer, Healthcare, Technology, Financial and Business services sectors. With offices throughout the US, Europe and Asia this leading firm have existing and newly raised capital for the Asia region. The suitable candidate will be MBA educated from a top-tier university together with 3+ years (post MBA) work experience with a Private Equity firm or the direct investments arm of a leading financial institution.Investment experience will cover deal Sourcing/Origination, Negotiation Read more […]
Metal & Mining Financial Modelling / Quantitative Risk analyst recruitment
You will be responsible for financial risk measurement by:Developing models of financial market risk driversDeveloping stochastic models and probalistic distributions for exposuresDefining and calculating risk measures e.g. volatility, VaR, CFaR etcBuilding a cash flow at risk modelAnalysing the impact of various financial metricsStatistical analysis and quantitative techniques in wider areas such as short term cash flow forecasting valuations.Crucial is also you ability to look beyond the analysis to understand the big picture impact these measures have on business.You must be:Intellectually Read more […]