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Responsible for supporting selected business segments with investment research and analysis of managers of alternative investments(i.e., hedge funds, fund of funds, private equity, real estate). Makes recommendations of investment options that support the investment strategies. Assist in new product development that includes investments within variable insurance products as well as stand-alone investments (e.g. retail mutual funds, separate accounts, etc. Source alternative investment managers identifying managers through professional contacts, conferences, databases, and industry publications. Interview prospective managers and conduct market and analytical research. Analyze and assess qualitative and quantitative aspects to evaluate the viability of prospective A.I. manager investment strategies. Perform on-site due diligence on prospective managers including an in-depth qualitative analysis of their investment strategy risk management process and operational controls. Present investment recommendations to investment committee Requirements: Education: Undergraduate education in Business, Finance, Economics, Accounting or related field. Graduate level education preferred.
Experience: Ten Years of relevant investment management experience. Knowledge: Expertise in investment decision making and fund manager selection practices / methodology. Knowledge of alternative investments including hedge funds, fund of funds, private equity, etc would be helpful; Understanding of Corporate and Bank-owned life insurance.
Skills/Competencies: Strong verbal and written communication skills. Strong ability to analyze data. Ability to present investment education, guidance and advice to large groups with varied levels of sophistication.
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