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  • Posted: Oct 10, 2025
    Deadline: Not specified
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  • Parthian Capital Limited (PCL) a subsidiary of Parthian Partners Limited) is a financial services firm with a strategic focus on becoming a leading provider of financial services in Nigeria. We achieve this through product innovation, superior customer experience, operational efficiency, strategic partnerships, and top-tier talent. As a licensed asset manage...
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    Wealth Advisor

    Job Summary

    • We're looking for an experienced professional to focus on High Net Worth Individuals (HNIs). As a Wealth Advisor, you'll manage investment portfolios, make strategic investment decisions, and drive fund growth.
    • The Wealth Advisor will be responsible for acquiring, advising, and managing High-Net-Worth (HNI) and Ultra Affluent clients, serving as a trusted partner to provide them with personalized wealth management solutions aligned with their financial goals.
    • The role requires a combination of relationship management, financial advisory expertise, and a deep understanding of Parthian Capital’s investment offerings.

    Key Responsibilities
    Client Acquisition & Relationship Management:

    • Identify, prospect, and onboard new HNI clients
    • Build strong, trust-based relationships with clients, acting as their primary advisor.
    • Conduct regular portfolio reviews with clients, ensuring alignment with their financial objectives.

    Investment Advisory & Portfolio Management:

    • Conduct financial needs assessments and risk profiling.
    • Develop tailored financial strategies across asset classes - fixed income, money markets, equities, mutual funds, USD products, alternative investments).
    • Structure and recommend appropriate investment solutions leveraging
    • Parthian Capital’s platform.
    • Monitor client portfolios, ensuring alignment with objectives and market conditions.
    • Provide regular performance updates and rebalancing recommendations.

    Business Development & Revenue Generation:

    • Achieve assigned Assets Under Management (AUM) and revenue growth targets.
    • Collaborate with product and investment teams to design innovative financial solutions that meet client needs.
    • Collaborate with internal teams to cross-sell Parthian’s suite of products.
    • Stay abreast of market trends, competitor offerings, and regulatory changes.
    • Represent Parthian Capital at client events, industry forums, and networking engagements to expand visibility and client reach.

    Regulatory Compliance & Risk Management:

    • Ensure all advisory and sales activities comply with SEC regulations and
    • Parthian Capital’s policies.
    • Adhere to KYC/AML requirements during client onboarding and throughout client relationships.
    • Maintain accurate client documentation and reporting records.

    Requirements: Knowledge, Skills, and Abilities
    Knowledge:

    • Bachelor’s degree in any relevant discipline
    • Strong experience in wealth management, private banking, or investment advisory with focus on HNIs.
    • Proven track record of developing and managing HNI client portfolios.
    • Knowledge of investment products including equities, fixed income, mutual funds, derivatives, and alternative investments.
    • Familiarity with KYC/AML requirements and ethical sales practices for financial services firms.
    • 4 - 6 years’ experience in sales, business development, or wealth management, with at least 3 years in the asset management or capital market industry.
    • Strong understanding of The Investments and Securities Act of 2025 and SEC guidelines on investment sales and client advisory.

    Skills:

    • Strong sales and business development capabilities.
    • Excellent interpersonal and relationship management skills.
    • High level of professionalism, integrity, and discretion.
    • Strong analytical and financial advisory skills.
    • Client-first mindset with exceptional-service orientation.

    Abilities:

    • Strong ethical standards and ability to comply with all regulatory requirements.
    • Capacity to work independently while collaborating effectively with internal teams.
    • Ability to interpret and implement SEC investment sales guidelines and customer risk profiling protocols.
    • Strong leadership and team management abilities to drive performance and motivate sales teams.
    • Ability to develop and maintain long-term relationships with HNIs and financial advisors.
    • Ability to communicate complex financial concepts simply and effectively.

    Benefits
    Employee Value Proposition (EVP):

    • Competitive Compensation & Benefits– We offer attractive remuneration packages that reward performance.
    • Career Development– Access to mentorship, training programs, and growth opportunities.
    • Work-Life Balance– Flexible work arrangements and a supportive environment.
    • Inclusive & Diverse Workplace– We embrace diversity and promote an inclusive culture.
    • Innovative Work Environment– Work on cutting-edge projects that shape the financial landscape.

    Non-Financial Perks– At Parthian Partners, we understand that a fulfilling work experience goes beyond monetary compensation. We offer:

    • Quality Healthcare– Comprehensive medical insurance to ensure the well-being of our employees and their families.
    • Flexible Schedules– Customizable work hours to support different lifestyle needs and enhance efficiency.
    • Progressive Parental Leave Policies– Generous maternity and paternity leave to support employees in their journey as parents.
    • Wellness Programs– Initiatives that focus on mental and physical well-being, including gym memberships, wellness workshops, and stress management sessions.
    • Learning & Development– Access to industry-leading training programs, certifications, and workshops to encourage professional growth.
    • Team Bonding Activities– Social events, retreats, and team outings that foster camaraderie and a strong workplace community.
    • Volunteer & CSR Initiatives– Opportunities to give back to society through company-sponsored community service programs.

    go to method of application »

    Fund Administrator

    Description

    • Join PCL and be part of a dynamic team that is setting new standards in the financial services industry, dedicated to making a significant impact and driving the financial future of Nigeria.
    • The Fund Administrator is responsible for the day-to-day administration and operational management of Collective Investment Schemes (CIS), mutual funds, discretionary portfolios, and other regulated investment vehicles.
    • This role ensures the accurate calculation of Net Asset Value (NAV), compliance with regulatory requirements under the Investments and Securities Act of 2007, and effective communication with service providers including custodians, trustees, fund registrars, and the Securities and Exchange Commission (SEC).
    • The Fund Administrator also maintains investor records, supports fund audits, and ensures operational efficiency in line with internal controls and international fund administration standards.
    • The Fund Administrator plays a central role in ensuring the accuracy, transparency, and regulatory compliance of Parthian Capital’s fund operations.
    • With attention to detail and strong coordination skills, this position is critical to maintaining investor confidence, operational integrity, and aligning the firm’s processes with the expectations of SEC, trustees, and fund stakeholders.

    Key Responsibilities
    NAV Calculation & Fund Valuation:

    • Calculate and publish accurate daily, weekly, or monthly Net Asset Values (NAVs) for all funds under management in accordance withSEC regulations and IFRS standards.
    • Validate asset pricing, accruals, income distributions, and valuation of fund assets.
    • Ensure timely submission of NAVs to trustees, SEC, and other stakeholders as required.

    Investor Services & Transaction Processing:

    • Process investor subscriptions, redemptions, unit transfers, and distributions.
    • Maintain and update unit-holder registers in collaboration with fund registrars.
    • Ensure investor onboarding and KYC/AML procedures are compliant with SEC and anti-money laundering regulations.

    Fund Accounting & Reconciliation:

    • Maintain fund-specific ledgers, journals, cash flow statements, and accounting records.
    • Perform daily reconciliation of trades, positions, and cash balances with custodians and banks.
    • Ensure accuracy in fund transaction records and resolve discrepancies promptly.

    Regulatory Compliance & Reporting:

    • Prepare and file periodic reports to the Securities and Exchange Commission (SEC) in line with reporting timelines for CIS operations.
    • Support internal and external audit processes by providing complete and timely documentation.
    • Monitor compliance with internal operating procedures, CIS rules, and regulatory requirements.

    Coordination with External Service Providers:

    • Liaise with fund custodians, trustees, registrars, and brokers to ensure operational alignment and compliance.
    • Coordinate timely payment of trustee, custodian, management, and incentive fees.
    • Ensure that service-level agreements (SLAs) with providers are met and reviewed periodically.

    Systems & Process Optimization:

    • Drive automation of fund administration processes to enhance accuracy and reduce turnaround time.
    • Implement internal controls and standard operating procedures (SOPs) for fund-related processes.
    • Assist with the launch and operational setup of new funds and investment products.

    Stakeholder Reporting & Engagement:

    • Generate periodic investor statements, performance summaries, and financial updates.
    • Assist fund managers with data required for performance attribution, reporting, and fund marketing.
    • Respond to investor inquiries and support relationship management efforts.

    Requirements
    Knowledge:

    • Bachelor's Degree in Accounting, Finance, Economics, or related field.
    • Professional certification such as ICAN, ACCA, CFA, or CIS (Chartered Institute of Stockbrokers) is a strong advantage.
    • Sound knowledge of the Investments and Securities Act of 2007, SEC rules on Collective Investment Schemes (CIS), and anti-money laundering (AML) compliance.
    • Understanding of IFRS accounting standards, NAV calculation principles, and fund structuring.

    Skills:

    • Proficiency in fund administration software and reconciliation tools (e.g., Bloomberg, Excel, ERP systems).
    • Strong numerical and analytical skills with attention to accuracy and detail.
    • Excellent report writing and communication skills for stakeholder and regulator engagement.
    • Knowledge of accounting for interest accruals, dividends, capital gains/losses, and fund expenses.
    • Proficient in data management, audit preparation, and compliance documentation.

    Abilities:

    • Ability to manage multiple funds and timelines without compromising accuracy.
    • Strong stakeholder management capability and ability to interface with external vendors.
    • Ability to adapt to changes in regulations and operational procedures.
    • Proven ability to work collaboratively across departments in a fast-paced investment environment.
    • High level of personal integrity, professionalism, and accountability.

    Benefits
    Employee Value Proposition (EVP):

    • Competitive Compensation & Benefits – We offer attractive remuneration packages that reward performance.
    • Career Development – Access to mentorship, training programs, and growth opportunities.
    • Work-Life Balance – Flexible work arrangements and a supportive environment.
    • Inclusive & Diverse Workplace – We embrace diversity and promote an inclusive culture.
    • Innovative Work Environment – Work on cutting-edge projects that shape the financial landscape.

    Non-Financial Perks
    At Parthian Partners, we understand that a fulfilling work experience goes beyond monetary compensation. We offer:

    • Quality Healthcare – Comprehensive medical insurance to ensure the well-being of our employees and their families.
    • Flexible Schedules – Customizable work hours to support different lifestyle needs and enhance efficiency.
    • Progressive Parental Leave Policies – Generous maternity and paternity leave to support employees in their journey as parents.
    • Wellness Programs – Initiatives that focus on mental and physical well-being, including gym memberships, wellness workshops, and stress management sessions.
    • Learning & Development – Access to industry-leading training programs, certifications, and workshops to encourage professional growth.
    • Team Bonding Activities – Social events, retreats, and team outings that foster camaraderie and a strong workplace community.
    • Volunteer & CSR Initiatives – Opportunities to give back to society through company-sponsored community service programs.

    go to method of application »

    Portfolio Manager

    Job Summary

    • The Fund/Portfolio Manager is responsible for the design, implementation, and active management of investment portfolios and collective investment schemes across multiple asset classes, including equities, fixed income, money market instruments, and alternative investments.
    • This role aims to deliver competitive, risk-adjusted returns in accordance with client mandates, investment guidelines, and regulatory frameworks set by the Securities and Exchange Commission (SEC) and the Investments and Securities Act of 2007.
    • The ideal candidate combines technical expertise, market insight, and fiduciary discipline to ensure portfolio performance, compliance, and alignment with client expectations.
    • The Fund/Portfolio Manager is a core contributor to the success of Parthian Capital’s investment management business, ensuring that all portfolios are professionally managed, compliant with applicable regulations, and structured for long-term performance and client satisfaction.
    • This role requires a blend of analytical rigor, regulatory awareness, and market insight to drive value for clients and stakeholders.

    Key Responsibilities
    Investment Strategy Development & Execution:

    • Develop and implement robust investment strategies across Naira- and foreign-denominated portfolios.
    • Ensure portfolio strategies align with client mandates, investment policy statements (IPS), risk tolerance, and return expectations.
    • Recommend tactical and strategic asset allocation decisions based on market dynamics, client objectives, and regulatory limits.

    Market & Investment Research:

    • Conduct fundamental and technical analysis of equities, fixed income, and alternative investment opportunities.
    • Evaluate macroeconomic trends (e.g., GDP, interest rates, inflation, FX) and their potential impact on asset classes.
    • Perform due diligence and valuation on investment opportunities including infrastructure funds, private equity, and REITs.

    Portfolio Monitoring & Risk Management:

    • Actively monitor portfolio holdings and performance, ensuring adherence to investment guidelines, exposure limits, and asset allocation targets.
    • Utilize portfolio analytics tools to assess risk (e.g., duration, beta, credit risk, concentration risk, and currency exposure).
    • Adjust portfolios proactively in response to changing market conditions, fund cash flows, or risk factors.

    Performance Reporting & Client Communication:

    • Prepare and present regular performance reports to clients, senior management, and investment committees.
    • Provide insights on strategy, attribution, market outlook, and fund positioning.
    • Support relationship management efforts with institutional and retail clients, providing technical support where required.

    Regulatory Compliance & Documentation:

    • Ensure compliance with theInvestments and Securities Act 2007,SEC regulations,CIS (Collective Investment Schemes) rules, andinternal policies.
    • Maintain investment records, trade documentation, and reports for audit and regulatory inspections.
    • Collaborate with compliance, risk, and operations teams to enforce trading limits, KYC, AML, and fiduciary duties.

    Trading & Execution Oversight:

    • Oversee execution of trades in fixed income and equity markets while maintaining best execution standards.
    • Liaise with brokers, custodians, registrars, and back-office staff to ensure timely and accurate settlement.
    • Supervise trade allocation across client accounts in line with fairness and regulatory guidelines.

    Industry Engagement & Market Intelligence:

    • Stay informed about market developments, regulatory updates, investment trends, and new product innovations.
    • Participate in industry fora, training programs, and regulatory consultations to strengthen Parthian Capital’s investment capabilities.

    Requirements

    • Bachelor’s Degree in Accounting, Finance, Economics, or a related field.
    • Minimum 5 - 8 years’ experience in fund accounting, financial reporting, or investment operations within an asset management firm.
    • Professional certification (ICAN, ACCA, CFA, CIS, or SEC-registered individual certification) is required.

    In-depth knowledge of:

    • The Investments and Securities Act (ISA) 2007
    • SEC regulations, NGX listing and trading rules
    • Collective Investment Schemes (CIS) framework
    • Asset pricing models, investment valuation techniques, and risk-return frameworks
    • Portfolio construction principles and asset allocation strategies

    Skills:

    • Strong financial modeling and valuation expertise using Excel, Bloomberg Terminal, and portfolio analytics tools (e.g., Morningstar Direct, Eikon).
    • Exceptional analytical and quantitative skills for performance attribution and portfolio diagnostics.
    • Effective communication skills – able to explain complex investment concepts to both technical and non-technical stakeholders.
    • Relationship management skills to liaise with clients, regulators, brokers, and internal teams.
    • Time management and prioritization in handling multiple portfolios or fund strategies simultaneously.

    Abilities:

    • Ability to make informed investment decisions under pressure and respond quickly to market changes.
    • Ability to maintain strict compliance with investment mandates, legal limits, and fiduciary responsibilities.
    • Capacity to deliver superior risk-adjusted returns through disciplined portfolio management.
    • Strategic thinking and agility in portfolio restructuring, rebalancing, or crisis navigation.
    • Ability to contribute to product development, client solutions, and asset-class diversification initiatives.

    Benefits
    Employee Value Proposition (EVP):

    • Competitive Compensation & Benefits– We offer attractive remuneration packages that reward performance.
    • Career Development– Access to mentorship, training programs, and growth opportunities.
    • Work-Life Balance– Flexible work arrangements and a supportive environment.
    • Inclusive & Diverse Workplace– We embrace diversity and promote an inclusive culture.
    • Innovative Work Environment– Work on cutting-edge projects that shape the financial landscape.

    Non-Financial Perks
    At Parthian Partners, we understand that a fulfilling work experience goes beyond monetary compensation. We offer:

    • Quality Healthcare– Comprehensive medical insurance to ensure the well-being of our employees and their families.
    • Flexible Schedules– Customizable work hours to support different lifestyle needs and enhance efficiency.
    • Progressive Parental Leave Policies– Generous maternity and paternity leave to support employees in their journey as parents.
    • Wellness Programs– Initiatives that focus on mental and physical well-being, including gym memberships, wellness workshops, and stress management sessions.
    • Learning & Development– Access to industry-leading training programs, certifications, and workshops to encourage professional growth.
    • Team Bonding Activities– Social events, retreats, and team outings that foster camaraderie and a strong workplace community.
    • Volunteer & CSR Initiatives– Opportunities to give back to society through company-sponsored community service programs.

    Method of Application

    Interested and qualified candidates should send their CV to: recruitment@parthianpartnersng.com using the Job Title as the subject of the mail.

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