QuintEdge
Finance Jobsby QuintEdge

Co fund manager, fund manager

Edjobster Pvt. Ltd

India

Full TimePortfolio Management

Posted 17 April 2026

Job description

As a Co-Fund Manager / Fund Manager at our leading investment firm, you will have the opportunity to utilize your expertise in capital markets and investment management. Your role will involve managing and growing investment portfolios, conducting market analysis, developing investment strategies, and ensuring compliance with regulatory requirements. Here is a breakdown of your key responsibilities: - Portfolio Management: Oversee and manage investment portfolios, focusing on equities, mutual funds, midcap, smallcap, and flexicap funds. • Market Analysis: Conduct thorough research and analysis on market trends, industry sectors, and financial instruments. • Investment Strategy: Develop, implement, and adjust investment strategies based on market conditions and fund objectives. • Risk Management: Monitor and mitigate risks associated with the portfolio, aligning with client's risk appetite and investment goals. • Reporting and Performance Tracking: Track fund performance and provide comprehensive reports to senior management and investors. • Team Leadership: Collaborate and mentor the junior investment team to ensure fund objectives are met effectively. • Client Interaction: Build and maintain strong client relationships, meeting their investment needs and exceeding expectations. • Compliance & Regulations: Ensure compliance with regulatory requirements and industry standards for all fund management activities. Desired Qualifications: - Educational Qualifications: CA (Chartered Accountant), CFA (Chartered Financial Analyst) - Experience: Minimum 15 years in investment management, managing equity portfolios, mutual funds, and exposure to midcap, smallcap, and flexicap strategies. • Skills & Competencies: Deep understanding of financial markets, strong risk management skills, excellent communication and leadership abilities, and strong quantitative and analytical skills. In addition to the challenging and rewarding responsibilities, you will also benefit from: - Competitive Salary & Benefits: We offer a compensation package that's highly competitive in the industry. • Career Growth: Opportunities to work with top minds in the investment industry and grow within our top-tier firm. • Confidential Role: We value privacy and confidentiality the company name will only be shared with shortlisted candidates. As a Co-Fund Manager / Fund Manager at our leading investment firm, you will have the opportunity to utilize your expertise in capital markets and investment management. Your role will involve managing and growing investment portfolios, conducting market analysis, developing investment strategies, and ensuring compliance with regulatory requirements. Here is a breakdown of your key responsibilities: - Portfolio Management: Oversee and manage investment portfolios, focusing on equities, mutual funds, midcap, smallcap, and flexicap funds. • Market Analysis: Conduct thorough research and analysis on market trends, industry sectors, and financial instruments. • Investment Strategy: Develop, implement, and adjust investment strategies based on market conditions and fund objectives. • Risk Management: Monitor and mitigate risks associated with the portfolio, aligning with client's risk appetite and investment goals. • Reporting and Performance Tracking: Track fund performance and provide comprehensive reports to senior management and investors. • Team Leadership: Collaborate and mentor the junior investment team to ensure fund objectives are met effectively. • Client Interaction: Build and maintain strong client relationships, meeting their investment needs and exceeding expectations. • Compliance & Regulations: Ensure compliance with regulatory requirements and industry standards for all fund management activities. Desired Qualifications: - Educational Qualifications: CA (Chartered Accountant), CFA (Chartered Financial Analyst) - Experience: Minimum 15 years in investment management, managing equity portfolios, mutual funds, and exposure to midcap, smallcap, and flexicap strategies. • Skills & Competencies: Deep understanding of financial markets, strong risk management skills, excellent communication and leadership abilities, and strong quantitative and analytical skills. In addition to the challenging and rewarding responsibilities, you will also benefit from: - Competitive Salary & Benefits: We offer a compensation package that's highly competitive in the industry. • Career Growth: Opportunities to work with top minds in the investment industry and grow within our top-tier firm. • Confidential Role: We value privacy and confidentiality the company name will only be shared with shortlisted candidates.