About the Role
TeamAce Limited is seeking a strategic and results-driven Portfolio Manager to join our growing team in Nigeria. In this role, you will oversee investment portfolios, develop cutting-edge investment strategies, execute trading activities, and optimize overall portfolio performance in alignment with client objectives and risk parameters. If you possess a sharp analytical mind and a deep understanding of financial markets, this is an excellent opportunity to impact our clients' financial futures significantly.
Key Responsibilities- Construct and manage diversified portfolios, develop investment strategies based on clients Investment Policy Statements (IPS), and allocate assets according to risk profiles and objectives.
- Research and generate investment opportunities across bonds, equities, fixed income, and other asset classes, while monitoring economic trends, market developments, and portfolio performance.
- Communicate investment instructions to brokers and counterparties, and liaise with fund managers, banks, Trustees, real estate partners, and other market participants on investment and fund-related matters.
- Prepare investment memos, performance reports, portfolio reviews, mutual fund factsheets, and quarterly reports, presenting relevant insights to senior management and clients.
- Use financial models and analytics to forecast returns, assess portfolio health, conduct risk assessments, and provide recommendations on investment positions and corporate actions.
- Ensure compliance with internal policies, Trustees, SEC regulations, and other relevant authorities while supporting budgeting, liquidity planning, and capital allocation activities.
- Bachelor’s Degree in Finance, Economics, Accounting, Business Administration, or a related field.
- Minimum of 4 years of relevant experience in portfolio management, investment management, asset management, or a related field, with exposure to real estate, equities, and fixed income.
- Strong understanding of financial markets, valuation techniques, asset allocation, portfolio management, and investment strategies.
- Proficiency in portfolio management tools and financial modelling, including Microsoft Excel and Bloomberg or similar platforms.
- In-depth knowledge of Naira and Eurobonds and Nigerian/international equities is mandatory; SEC-sponsored individual status is an advantage.
- Strong relationships with issuing houses, banks, brokers, Trustees, and other sell-side market participants, alongside excellent analytical and communication skills.
- Competitive salary and performance-based incentives.
- Comprehensive health insurance coverage.
- Opportunities for professional development and career advancement.
- A collaborative and dynamic work environment.