Job Description:
We are hiring an Alternative Investments Manager to join our asset management division in Berlin. In this role, you will be responsible for overseeing investment strategies in non-traditional asset classes such as private equity, hedge funds, real estate, infrastructure, and commodities. Your objective will be to maximize portfolio diversification and long-term returns while managing associated risks.
You will conduct due diligence on alternative investment opportunities, evaluate fund managers, and develop asset allocation strategies. The role also includes monitoring performance, ensuring compliance with regulatory frameworks, and producing investment reports for senior leadership and clients. This position demands both analytical insight and market intuition.
Job Requirement:
Candidates should have a degree in finance, economics, or a related field, and professional certifications such as CFA or CAIA are preferred. A minimum of 5–7 years of experience in investment management, particularly in alternatives, is required. Strong knowledge of risk-return frameworks, portfolio diversification, and alternative asset valuation is essential.
Excellent research and financial modeling skills are crucial. Proficiency with investment platforms like Preqin or Bloomberg is expected. Candidates must be detail-oriented, capable of managing complex portfolios, and confident in presenting investment strategies and findings to clients or internal stakeholders.