Investment Manager
Emirates Investment Authority
Purpose
The Investment Manager will:
• Lead manager sourcing and due diligence across absolute return and equity sub-strategies
• Structure managed accounts and bespoke mandates
• Reallocate capital into higher-alpha strategies aligned with portfolio objectives
• Strengthen resilience within the Asset Management team
• Support performance oversight and active portfolio management
Responsibilities & Duties
1. Manager Sourcing & Origination
• Identify, source, and evaluate global investment managers across:
o Alpha transport strategies
o Market neutral strategies
o Equity extension strategies
o Hedged equity strategies
• Maintain strong institutional relationships with consultants, peers, and managers
• Proactively identify diversification opportunities to reduce single-manager concentration risk
2. Due Diligence & Investment Assessment
• Conduct full investment, operational, and risk due diligence independently
• Build and review advanced financial models and performance attribution analyses
• Evaluate strategy robustness, alpha sustainability, and scalability
• Assess portfolio construction, factor exposures, liquidity profile, and risk controls
• Prepare detailed investment memoranda for internal review
3. Mandate Structuring & Execution
• Structure and negotiate managed accounts and fund allocations
• Lead execution processes from approval to funding
• Coordinate with Legal, Operations, and Risk to finalize documentation
• Manage capital deployment for ring-fenced allocations (e.g., USD 600m Alpha Transport allocation)
• Ensure optimal ticket sizing and manager diversification (e.g., USD 200m mandates)
4. Portfolio Monitoring & Performance Oversight
• Monitor performance, risk exposures, and alpha delivery
• Review manager reporting and fair value estimates
• Conduct periodic strategy reviews and performance diagnostics
• Respond to underperformance with structured engagement plans
• Recommend manager exits, reallocations, or mandate changes where appropriate
5. Governance & Committee Reporting
• Present investment recommendations to Investment Committees
• Prepare periodic performance and attribution reports
• Ensure all documentation meets EIA governance and audit standards
• Maintain databases of prospective and rejected investments
6. Team Contribution & Resilience
• Provide mentorship and technical guidance to Investment Analysts
• Support team knowledge development in absolute return and alpha transport strategies
• Contribute to team resilience and reduce key-person dependency risk
Requirements
Qualifications & Experience
Education
• Bachelor’s degree in finance, Economics, Business, or related discipline
• MBA or equivalent postgraduate qualification preferred
• CFA or equivalent professional designation strongly preferred
Experience
• 10+ years of institutional investment experience
• Significant experience in manager selection and portfolio construction
• Demonstrated expertise in:
o Absolute return strategies
o Alpha transport strategies
o Market neutral mandates
o Equity extension structures
• Experience structuring and managing managed accounts
• Experience within:
o Sovereign wealth funds
o Pension funds
o Asset managers
o Institutional investment consulting firms
Technical Skills
• Advanced financial modeling and performance attribution analysis
• Strong understanding of portfolio construction and risk-adjusted returns
• Familiarity with hedge fund and alternative strategy structures
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