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  • Posted: Aug 1, 2025
    Deadline: Not specified
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  • We are an innovative, trusted partner in the provision of cutting-edge investment banking services.

    Our broad range of service offerings comprises of Securities Dealing, Asset Management, Trusteeship, Corporate Finance, Private Equity, and Micro banking.

    Since 1998, we have actively HandHeld our highly diversified client base – C...
    Read more about this company

     

    Fund Manager

    Job Summary

    • The Fund Manager is responsible for creating value, retaining value and preserving value for clients and company.
    • He collaborates with other team members to implement investment strategies, oversee investments, review investment portfolios and analyze fund performance.

    Key Responsibilities

    • Develop investment strategies that align with clients' financial goals.
    • Monitor the financial market trends to draw investment plans and ensure effective portfolio management.
    • Meet with clients regularly to review and adjust their investment portfolios.
    • Perform due diligence. No stone goes unturned on your watch. Scrutinizing every potential investment, ensuring it aligns with our goals.
    • Monitor portfolio performance. You'll keep a hawk's eye on our investments, ensuring they’re performing optimally.
    • Assist in clients acquisition process and product development with a view to improving revenue drive
    • Develop and implement investment strategies to maximize fund value.
    • Conduct thorough financial research and analysis to identify investment opportunities.
    • Manage portfolio risk through diversification and other risk management techniques.
    • Regularly review and adjust investment strategies based on market conditions.
    • Ensure compliance with all industry rules and regulations.
    • Communicate effectively with stakeholders about fund performance and investment strategies.
    • Participate in preparing and driving financial plans and budgets for the company in conjunction with other departments.
    • Prepare and submit statutory reports.

    Qualifications and Experience

    • Bachelor's Degree in Finance, Economics, or related field. A Master's Degree or CFA is preferred.
    • Minimum of 5 years' experience in fund management or investment banking with a proven track record of generating returns.
    • Strong analytical skills and the ability to make data-driven decisions.
    • Excellent communication skills to effectively convey complex financial information.
    • High level of integrity and a strong understanding of financial regulations and laws.
    • Demonstrably strong Asset Management background;
    • Membership of relevant professional bodies.

    Application Closing Date
    30th August, 2025.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified candidates should send their CV and Cover letter to: career@gti.com.ng using the Job Title as the subject of the mail.

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