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Job Title: Multi Asset Class (International) Alternative Investment Fund Manager

Location: GIFT City, Gandhinagar

Company: International Fund Management Company, GIFT City, Gandhinagar, Gujarat.

Job Type: Full-Time

About Us:

International Fund Management Company (IFMC) is licensed in GIFT City as a Non-Retail


Fund Management entity dedicated to delivering exceptional investment solutions to our
clients.

About You

 You are a driven by a quest for knowledge and expanding your horizons in global
finance.
 You are an experienced professional and wish to gain more knowledge to develop
your career and prospects.
 You are very keen on living and working in Gandhinagar, Gujarat which is the home
of newly coming up and fast-growing GIFT City Special Economic Zone. Link to GIFT
City is https://www.giftgujarat.in/
 This is a full time on location work position requiring absolute dedication and
commitment. There is no remote working opportunity.
 You need to be fluent in English language and extremely tech savvy.
 Your belief system and values should align with the highest levels of ethics and
integrity that are the core foundation of our business.

Why we are in GIFT City

 GIFT City has an international financial hub having well established network of
financial institutions, including banks, stock exchanges and regulatory bodies.
 GIFT City India offers a wide range of investment opportunities, from equities and
debt to real estate and infrastructure. Fund managers can tap into diverse asset
classes to maximize returns.
We have a long term vision of investment and financial activities in GIFT City, Gandhinagar,
Gujarat.

Job Summary: We are seeking a Fund manager for our international alternative investment
hedge fund.
The Fund Manager will be responsible for overseeing the management of the IntlAiF Fund -
a multi asset class hedge fund, trading in international markets, comprising of public
equities, debt, real estate, alternative assets, and cash.
The investment will be made after rigorous, in-depth research and analysis to identify
investment opportunities, risk and reward, consideration of all layers of risks from
geopolitical to macro-economic and sectoral.
Regd. Address: UNIT no. GA-3A, Ground Floor, Pragya Accelerator, Road 1C, Gift City, Gandhinagar -
382355
CIN: U66301GJ2023PTC144533 | Email ID: info@caravella.in
The Fund manager will actively trade to optimize portfolio performance.
The fund will be dealing with leverage and deal with hedge fund services such as such as
prime brokers, markets, and execution brokers.
The ideal candidate will have a proven track record of success in multi asset class fund
management, a deep understanding of financial markets, leverage management, trading
cross border securities, and strong analytical skills.
Key Responsibilities:
1. Develop and implement investment strategies to achieve targeted returns while
managing risks effectively.
2. Pitch Investment strategies to Investors. Ensure competitive edge and unique
characteristics of fund.
3. Build a Fund strategy and culture which puts investors interest first and foremost and
communicate with investors regularly demonstrating a deep commitment to their
interest.
4. Conduct thorough research and analysis to identify potential investment opportunities
in equity markets.
5. Monitor market trends, economic indicators, and company fundamentals to make
informed investment decisions.
6. Very strong modelling and computer skills to build and maintain financial models to
assess the valuation and performance of potential investments. This may extend to
automated order placing.
7. The FM may need to oversee a technology team which assists in the proper
management of the fund although it is expected that the investor’s investment team
will be doing the heavy lifting.
8. Execute trades following established investment guidelines and regulatory
requirements.
9. Monitor portfolio performance and adjust investment strategies as needed to achieve
desired outcomes.
10. Communicate investment insights and recommendations to senior management and
clients.
11. Stay informed about industry developments, regulatory changes, and emerging
trends to inform investment decisions.
12. Collaborate with internal teams, including research analysts, traders, and compliance
officers, to support investment activities.
13. Foster strong relationships with clients and provide exceptional service to meet their
investment objectives.

Regd. Address: UNIT no. GA-3A, Ground Floor, Pragya Accelerator, Road 1C, Gift City, Gandhinagar -
382355
CIN: U66301GJ2023PTC144533 | Email ID: info@caravella.in
Qualifications:

1. Bachelor's degree in Finance, Economics, or a related field; MBA or CFA designation


preferred.
2. Proven track record of success in multi asset class fund management, with a
minimum of 5 to 8 years of relevant experience.
3. Deep understanding of financial markets, investment principles, and portfolio
management techniques.
4. Strong analytical skills, with the ability to conduct in-depth research and analysis of
companies and industries.
5. Excellent decision-making abilities, with a demonstrated ability to identify and
capitalize on investment opportunities.
6. Effective communication skills, with the ability to articulate complex investment
concepts clearly and persuasively.
7. Strong attention to detail and accuracy in financial analysis and reporting.
8. Ability to work effectively under pressure and meet deadlines in a fast-paced
environment.
9. Proficiency in financial modelling and analysis tools, as well as Bloomberg Terminal
and other relevant software.
10. Commitment to upholding ethical standards and compliance with regulatory
requirements.

Regd. Address: UNIT no. GA-3A, Ground Floor, Pragya Accelerator, Road 1C, Gift City, Gandhinagar -
382355
CIN: U66301GJ2023PTC144533 | Email ID: info@caravella.in

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