QuintEdge
Finance Jobsby QuintEdge

Alternative Investment Fund Portfolio Manager (India)

Pentacle Consultants (I

India

Full Time5+ yearsPortfolio Management

Posted 24 May 2026

Job description

Hiring: AIF Fund Manager Location: Lower Parel, Mumbai, Maharashtra Experience: 5+ Years Joining Preference: Within 1 Month We are looking for an experienced AIF Fund Manager to lead investment strategy, portfolio management, investor relations, and regulatory compliance for Alternative Investment Funds (AIFs). The ideal candidate should have robust expertise in managing diversified investment portfolios across equity, debt, venture capital, private equity, or alternative asset classes, with deep knowledge of the real estate sector. Key Responsibilities: - Develop and execute investment strategies aligned with fund objectives • Manage and monitor AIF portfolios including valuation, performance tracking, and risk assessment • Conduct financial analysis, due diligence, and investment research on potential opportunities • Lead investment committee presentations and recommendations • Ensure compliance with SEBI regulations and AIF guidelines • Coordinate with custodians, trustees, auditors, legal teams, and fund administrators • Build and maintain relationships with investors, HNIs, family offices, and institutional clients • Prepare MIS reports, fund performance reports, and investor communications • Monitor market trends, macroeconomic developments, and sector performance • Support fundraising activities and new product development initiatives Required Skills & Qualifications: - Bachelor’s degree in Finance, Economics, Commerce, or related field • MBA / CFA / CA preferred • Minimum 5 years of experience in AIFs, PMS, PE/VC funds, hedge funds, or asset management • Strong understanding of capital markets, valuation techniques, and financial modeling • Knowledge of Category I, II, and III AIF structures • Familiarity with SEBI compliance and reporting standards • Excellent analytical, communication, and stakeholder management skills • Proficiency in Excel, Bloomberg, Power BI, or financial analytics tools • Strong understanding of real estate investments, valuation, and market dynamics Preferred Experience: - Handling HNI/UHNI investor portfolios • Exposure to startup investments, private credit, structured finance, listed equities, or real estate investments • Track record of successful investment performance and fund growth • Experience in fundraising and investor onboarding Key Competencies: Investment Research | Portfolio Management | Risk Analysis | Fund Operations | Investor Relations | Financial Modeling | Strategic Decision-Making | Regulatory Compliance Interested candidates can share their updated resume at: