We are currently partnered with a global alternative assets specialist providing investment solutions for institutional investors globally.
The team covers the global hedge fund universe across all sectors: equity long/short, relative value, event‑driven, macro, and multi‑strategy.
Responsibilities
- Conduct comprehensive qualitative and quantitative fund due diligence, including detailed performance and attribution analysis
- Prepare investment memorandums and supporting materials for presentation to their Investment Committee
- Source and evaluate hedge fund opportunities across global macro strategies
- Monitor market trends, industry developments, and relevant macroeconomic factors impacting hedge fund markets
- Support ongoing portfolio monitoring activities, including manager reviews and performance analysis
- Build and maintain relationships with general partners and industry participants to support a robust and active investment pipeline
Qualifications
- 3-7 years of relevant experience at an investment firm, hedge fund manager, hedge fund allocator, multi‑asset platform or relevant buy‑side/sell‑side role with substantial exposure to hedge funds
- Strong understanding of hedge fund and portfolio analysis, including evaluation of strategy risk/return profiles, use of leverage and derivatives, liquidity terms, operational due diligence considerations and primary/secondary fund due diligence in the hedge fund context
- Strong analytical capabilities and financial modeling skills
- Excellent qualitative assessment skills, with the ability to identify, synthesize, and communicate key investment merits and risks
- Clear, concise, and effective written and verbal communication skills
- High degree of initiative, intellectual curiosity, integrity, and commercial judgement
- Strong collaboration skills and a desire to work in a fast‑growing, global and team‑oriented environment
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