Support portfolio construction and management, performance monitoring and strategy refinement based on market insights
Coordinate and prepare quarterly investor reports
Regularly communicate portfolio performance to clients and investors, both in writing and verbally
Address internal and external inquiries in relation to the investment portfolio
Track and report on portfolio performance metrics, developing analytics to support capital raising efforts
Coordinate with finance team on fund-level reporting and analytics
Prepare regular performance reports for internal and external stakeholders
Maintain accurate investment track records for each fund portfolio
Ensure transparency and accountability in all reporting activities
Review investment committee memos and provide insights from an investor perspective
Support the deal team with issues or challenges during an investment's lifecycle
Stay informed on market trends, economic conditions, and industry developments to add value to the investment team and fundraising efforts
JOB REQUIREMENTS
Minimum 10 years of relevant experience working with private funds and deep knowledge of the alternative asset management industry
Strong understanding of Asian credit markets and financing structures
Excellent written and oral communication and presentation and interpersonal skills
Proficient in financial modelling and analytical work
The candidate should possess strong business and strategic acumen with proven internal and external relationship management skills
The candidate should be comfortable working in a collegial, collaborative, fast-paced, high-growth environment and possess high levels of intellect, drive, and energy. Process-oriented and customer-focused both internally and externally.
Self-motivated, hands-on, entrepreneurial, resourceful, meticulous and results-driven.