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Investment Portfolio Manager
Full TimeAccounting, Finance
Dubai, United Arab Emirates
October 11, 2025
Expires in 29 days
Apply Before: November 11, 2025
As the Investment Portfolio Manager, you will be responsible for managing a portfolio of assets for current and future bank clients, aligning investment strategies with their individual financial goals, risk tolerance, and time horizons. The ideal candidate will have a strong understanding of financial markets, excellent analytical skills, and a proven track record of delivering solid investment performance within a regulated banking environment. This position reports to the COO.
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Responsibilities:
- Manage and proactively monitor investment portfolios for current and prospective bank clients, ensuring alignment with their financial goals, time horizons, and risk tolerance
- Develop and implement tailored investment strategies, including asset allocation, security selection, and periodic portfolio rebalancing
- Conduct comprehensive financial analysis, including market research, macroeconomic forecasting, and individual security valuation, to support sound investment decisions
- Execute investment transactions and continuously evaluate portfolio performance, making strategic adjustments to optimize returns and mitigate risks
- Provide regular updates to clients on portfolio performance, market trends, and strategic recommendations, maintaining a high standard of client engagement and trust
- Collaborate closely with senior stakeholders by preparing and presenting high-quality reports, performance reviews, and market insights; offer strategic advice to support decision-making at the executive level
- Ensure full compliance with regulatory frameworks and internal policies, maintaining accurate documentation and adhering to the highest standards of risk management and governance
- Stay up to date in the of current market trends, economic developments, and new investment products
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Requirements:
- Masters degree in Finance, Economics, or a related field
- Minimum of 5 years of experience in investment portfolio management, preferably within a bank
- Proven track record of managing investment portfolios and achieving investment objectives
- Strong understanding of financial markets, investment instruments, and portfolio management principles
- Excellent analytical, quantitative, and problem-solving skills
- Exceptional communication, presentation, and interpersonal skills
- Ability to work independently and as part of a team
- Strong proficiency in financial analysis software and portfolio management systems
- CFA designation or progress towards completion is preferred
- Deep knowledge of banking regulations and compliance requirements
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Our benefits:
- Competitive compensation package
- 24 days off and 15 sick leaves annually
- Corporate insurance plan
- Snacks and beverages
- Visa/work permit supportÂ
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