Fund Manager

Rhizome Consulting

Rhizome Consulting – Our primary objective is to meet both the needs of our client and to exceed their expectations. We offer a broad range of services, tailored to our client specification with full confidentiality.

 

Summary

  • The Fund Manager is responsible for the overall strategy, performance, and governance of assigned investment funds.
  • The role exists to ensure that fund objectives are met through sound asset allocation, disciplined risk management, regulatory compliance, and effective investor engagement.
  • The Fund Manager will act as the primary steward of investor capital, balancing return optimisation with capital preservation, liquidity management, and fiduciary responsibility.

 

Key Responsibilities

Fund Strategy & Portfolio Oversight:

  • Define and implement fund investment strategies in line with approved mandates.
  • Make asset allocation and portfolio construction decisions across relevant instruments.
  • Monitor portfolio performance against benchmarks and risk parameters.
  • Review and adjust strategies in response to market conditions and fund objectives.

Risk Management & Compliance:

  • Ensure adherence to internal investment policies, risk frameworks, and regulatory requirements.
  • Monitor market, credit, liquidity, and operational risks within the fund.
  • Work closely with risk, compliance, and audit teams to maintain governance standards.
  • Ensure accurate valuation, pricing, and reporting of fund assets.

Investor Relations & Reporting:

  • Serve as a key point of contact for investors and institutional stakeholders.
  • Prepare and present fund performance reports, commentaries, and outlooks.
  • Support fundraising efforts and investor due diligence processes.
  • Respond to investor inquiries with clarity and professionalism.

Leadership & Decision-Making:

  • Provide leadership and direction to investment analysts and portfolio teams.
  • Chair or contribute to internal investment discussions and committees.
  • Ensure investment decisions are well-documented and defensible.
  • Mentor junior professionals and promote a culture of analytical excellence.

 

Educational Qualifications

  • Bachelor’s or Master’s Degree in Finance, Economics, Accounting, or a related discipline.
  • Professional certifications such as CFA, ACCA, ACA, or equivalent are highly advantageous.

Knowledge, Skills & Experience:

  • 10–12 years’ experience in fund management, portfolio management, or asset management.
  • Proven track record in managing institutional or pooled investment funds.
  • Demonstrated experience in asset allocation, portfolio construction, and performance management.
  • Experience working within regulated investment environments is essential.

 

How to Apply

Interested and qualified candidates should send their Applications to: vacancies@rhizomeng.com using the Job Title as the subject of the mail.

To apply for this job email your details to vacancies@rhizomeng.com.