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Asset Management Manager

Medland · Gouvernorat de la capitale

جديد Remote
Remote Mid 🇬🇧 English
Excel Portfolio management systems Financial databases Analytical tools

وصف الوظيفة

About the role

We are looking for an experienced Asset Management Manager to lead our asset management activities on a part‑time, fully remote basis. The role involves overseeing portfolio performance, evaluating risks, and providing analytical support for investment decisions.

Key responsibilities

  • Develop and implement asset management strategies aligned with organisational objectives and risk parameters.
  • Monitor investment portfolios, asset performance, allocation, liquidity and overall exposure.
  • Conduct financial, market and investment analysis to identify trends, opportunities and potential risks.
  • Review portfolio performance against benchmarks and objectives.
  • Support asset allocation, investment planning, portfolio optimisation and rebalancing activities.
  • Prepare management reports, investment analyses, performance summaries and decision‑support materials.
  • Monitor market developments, economic indicators, industry trends and relevant financial information.
  • Assess investment risks and help develop appropriate risk‑management measures.
  • Coordinate with finance, investment, operations, compliance and external service providers.
  • Maintain accurate portfolio records, financial documentation and reporting materials.

Required profile

  • Bachelor’s degree in Finance, Economics, Accounting, Business, Investment Management or a related field (preferred).
  • 3+ years of professional experience in asset management, portfolio management, investment analysis or financial analysis.
  • Strong understanding of portfolio management, asset allocation, investment analysis, financial markets and risk principles.
  • Ability to analyse financial statements, portfolio data, market information and investment performance.
  • Excellent communication and reporting skills with the ability to explain financial information clearly.
  • Ability to manage multiple priorities and work independently in a fully remote environment.

Required skills

  • Advanced Excel for financial analysis and modelling.
  • Financial modelling and quantitative analysis.
  • Familiarity with portfolio management systems and financial databases.
  • Use of analytical tools for market and investment research.

What we offer

  • Flexible part‑time hours within a fully remote working environment.
  • Competitive compensation aligned with experience and expertise.
  • Opportunities to work with diverse portfolios, financial data and investment strategies.
  • Exposure to modern financial technologies, analytical tools and market research resources.
  • Professional development through meaningful investment and asset management responsibilities.

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Medland

Gouvernorat de la capitale