Company Description The organization is seeking an Investment Officer to support its growing financial and investment activities. The team focuses on disciplined portfolio management, robust risk oversight, and data-driven decision-making to achieve long-term financial objectives. Collaboration, integrity, and accountability are central to the working culture. Team members are encouraged to bring forward innovative ideas and analytical insights that enhance investment performance and operational efficiency.
Role Description The Investment Officer is a remote, contract role responsible for managing and monitoring investment portfolios in line with the organization’s risk and return objectives. Day-to-day tasks include conducting financial and market analysis, evaluating investment opportunities, preparing investment recommendations and reports, and tracking portfolio performance against benchmarks. The role also involves supporting portfolio rebalancing, maintaining accurate investment records, and collaborating with internal stakeholders to align investments with strategic priorities. The Investment Officer is expected to work independently, meet agreed timelines, and communicate insights clearly to both technical and non-technical audiences.
Qualifications
Role Description The Investment Officer is a remote, contract role responsible for managing and monitoring investment portfolios in line with the organization’s risk and return objectives. Day-to-day tasks include conducting financial and market analysis, evaluating investment opportunities, preparing investment recommendations and reports, and tracking portfolio performance against benchmarks. The role also involves supporting portfolio rebalancing, maintaining accurate investment records, and collaborating with internal stakeholders to align investments with strategic priorities. The Investment Officer is expected to work independently, meet agreed timelines, and communicate insights clearly to both technical and non-technical audiences.
Qualifications
- Strong foundation in Finance, including understanding of financial instruments, markets, and risk-return concepts.
- Experience in Investment Management and Investments, with a track record of evaluating and executing investment strategies.
- Advanced Analytical Skills, including proficiency in quantitative analysis, modeling, and interpretation of financial data.
- Practical experience in Portfolio Management, including monitoring performance, rebalancing, and aligning portfolios with investment policies.
- Proficiency in spreadsheet and analytics tools (e.g., Excel, financial modeling software); familiarity with investment research platforms is beneficial.
- Strong written and verbal communication skills, with the ability to present complex information clearly and concisely.
- High level of integrity, attention to detail, and ability to work independently in a remote contract setting.
- Bachelor’s degree in Finance, Economics, Business, or a related field; relevant professional certifications (e.g., CFA, CAIA) are an advantage.