Job Description:
The Alternative Investment Manager in Doha is responsible for overseeing investment portfolios that include non-traditional assets such as private equity, hedge funds, real estate, commodities, and infrastructure. This role involves evaluating alternative investment opportunities, conducting due diligence, managing risk, and aligning portfolio strategies with institutional or high-net-worth investor objectives.
Core responsibilities include developing asset allocation models, negotiating investment terms, monitoring fund performance, and reporting to stakeholders. The manager works closely with research analysts, external fund managers, and legal advisors to ensure compliance, diversification, and optimal returns.
This position demands strong investment acumen, in-depth market knowledge, and the ability to interpret complex financial instruments. The Alternative Investment Manager plays a strategic role in expanding and optimizing portfolio performance in Qatar’s competitive and evolving financial landscape.
Job Requirement:
Education: Bachelor’s degree in Finance, Economics, or Investment Management; CFA or MBA preferred.
Experience: 5–7 years in alternative investments, portfolio management, or asset management.
Skills:
Advanced knowledge of alternative asset classes.
Strong financial modeling, due diligence, and risk assessment skills.
Proficiency in Bloomberg, Excel, and portfolio management systems.
Strategic thinking and decision-making capabilities.
Excellent communication and stakeholder management.
Language: Fluent in English; Arabic proficiency is a plus.
Other Requirements:
Familiarity with global and Qatari investment regulations.
High attention to detail and ethical investment practices.
Ability to work under pressure and manage complex portfolios.
Strong presentation and reporting skills.