About the Role
We are seeking a highly analytical and market-driven Fund Manager to manage and scale a Category II Alternative Investment Fund (AIF) focused on long-short equity strategies. The ideal candidate should possess strong expertise in portfolio management, derivatives, hedging techniques, risk management, and regulatory compliance under SEBI AIF regulations.
Must-Have
- NISM Series XIX-E or C Certification (Mandatory/ Non Negotiable)
Key Responsibilities
- Manage long-short equity portfolios and investment strategies.
- Execute trades and monitor portfolio performance.
- Implement derivatives-based hedging and risk management strategies.
- Prepare investor reports, NAV disclosures, and fund updates.
- Ensure compliance with SEBI Category II AIF regulations.
Preferred Qualifications
Key Skills
- Equity Research & Portfolio Management
- Derivatives & Hedging Strategies
- Risk Management
- Capital Markets Knowledge
- Investor Reporting & Compliance
Why Join?
- Opportunity to manage capital in a regulated investment platform.
- Exposure to sophisticated long-short and hedge fund strategies.
- High ownership role with direct impact on fund performance.
- Collaborative environment with experienced investment professionals.
- Strong career growth potential within the alternative investments ecosystem.