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  • Posted: Oct 21, 2019
    Deadline: Nov 30, 2019
  • AT&A is a boutique group of companies with interests spanning Real Estate, Financial Investment and Retail Trade. We offer bespoke solutions to our clients in each of our investment vehicles.
    Read more about this company

    Fund/Business Development Manager

    Job Summary

    • The Fund Manager provides financial advice and services to private and corporate clients of AT&A Asset Management Limited about a range of investment matters, including buying and selling investment trusts and shares or bonds, to help these clients invest their money in the best places.


    • Will make decisions about financial and investment opportunities on behalf of clients; buy shares and bonds on behalf of clients, and invest in property and other things, in an attempt to make as much money for the client as possible
    • Will be involved in deposit mobilization
    • Drive product creation to suit client / investor appetite.
    • Meet with investors to discuss investment opportunities and strategies
    • Create, organize and manage client portfolios
    • Will analyze financial data and liaise directly with investment analysts to make informed decisions for our clients
    • Effectively manage client assets according to their investment preferences.
    • Strategically plan and direct operations of the portfolio management business; lead and manage the portfolio investment team.
    • Will ensure that prospectuses and other documents are completed, filed and distributed as regulations require.
    • Must also ensure their funds operate in accordance with regulations outlined by authorities, such as the Securities and Exchange Commission
    • Keep knowledge up-to-date about the economy, current financial news and financial markets
    • Attend industry events; develop relationships with clients and expand client network in professional and social settings;
    • Liaise with external parties including regulatory agencies and also liaise with internal stakeholders.
    • Employ risk management techniques to assess investments and ensure asset portfolios are sufficiently diversified
    • Use complex financial models to project future earning and profit potential and uses this data to inform decisions and proposals
    • Is responsible for coaching and development of individual portfolio investment team members.

    Educational Requirements

    • Candidate must have a 2.1 degree in any subject, though business studies, management, statistics, finance, mathematics, accounting or economics can be helpful, as can an MBA or similar professional qualification.

    Experience Requirements:

    • He / She must have handled investment analyst roles before becoming a Fund Manager; must be registered at the Securities & Exchange Commission and have significant track records as a Fund Manager.


    • Knowledgeable about financial products available to corporate and individual clients, including bonds, stocks, investments, and trusts
    • Must be able to assess and interpret complicated financial information


    • Quantitative and analytical skills
    • Financial modeling
    • Interpersonal and communication skills
    • Managerial skills
    • Decision making skills
    • Confidence
    • Determination
    • Self-motivation
    • Strong time management skills
    • Ability to work effectively under pressure
    • Analytical and problem-solving skills
    • Keen interest in and understanding of financial markets

    Key Competencies:

    • Analytical Thinking
    • Decision Making
    • Strong interpersonal skills
    • Verbal and Written Communication Skills,
    • Attention to Detail
    • Multitasking
    • Ability to work under pressure.

    Method of Application

    Interested and qualified candidates should send their Application Letter and CV to: clearly indicating the "Job Title" as subject of your mail.

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