Fund Manager Job Opportunity in Uganda at Standard Bank


Job # 1410521/3779:
Job Title:  Fund Manager
Market Related Salary
Head office South Africa (Gauteng)
Permanent skilled level position at Standard Bank of South Africa in the Financial industry.
Posted by Standard Bank of South Africa on 10/07/2012

To ensure that all investment funds and investment and financial structuring are effective, signed off by credit and managed well to deliver value.
To ensure that all deals are assessed and priced appropriately.
To review on-going financial performance and integrity of fund(s) and capital allocations.
Develop and setup fund structure(s)
Designs a blended value return model which measures financial, socio-economic impacts and environmental impacts together with an appropriate portfolio management approach on the total lifetime value of a customer across multiple segments and product areas of Standard Bank.
Sets up of the fund structure, which includes:
- Budgets and revenue modelling and forecasting in the blended value return model;
- Provides all valuations needed in the case study exercise (Including DCF);
- Develops, designs and documents all valuation processes and policies;
- Develops, designs and documents portfolio management guidelines;
- Engages and lobby's all internal stakeholders to setup and ring fence pilot fund / capital allocation fund in a test and learn credit environment;
- Develops and manages the financial risk robot in regards to all other risk robots. This must be integrated into the blended value return model for impact forecasting.
Investment process
Designs the investment process and ensures that it works.
Due to the complex nature of the 'fund' and/or capital allocation structure, and the use of corporate partner's funds, a flexible but inclusive investment approval process will need to be designed and managed. This process will need to fulfil all of Standard Bank's normal credit, governance, and risk policies and procedures and also align itself to corporate partner's internal processes.
Portfolio management
Designs a collective blended return, across 3 measures (Financial, Socio-Economic and Environmental), which need to meet the internal hurdle rates - so the correct mix of investments and the management thereof is a critical success factor.
Qualifications:
CA, CFA or MBA
The ideal candidate will have the following competencies:
Experience
BBBEEE Act
DTI Codes of good practice
Financial Sector Charter
7-10 years' experience in structuring corporate finance (blend of lending and corporate).
Investment structure models
Structured finance applications
Corporate finance transactions
Exposure to SME development advantageous
at least 10 years experience and exposure to investment banking or other complex corporate finance transactions
Experience in setting up and running investment fund(s)
Experience in establishing corporate and/or BEE investment structures advantageous.
Early stage investment and portfolio management theory
Standard Bank is a South African-based financial services company with a global presence. Standard Bank believes that it is through their people that they will succeed and that only by working together will they make their offering to its customers. Standard Bank - Moving Forward.

Apply online before 09/08/2012.


To Apply:
http://standardbank.careerjunction.co.za/car/job/joblst.asp?pageno=A&adv=-1&inf=0&comtype=3&comloc=-1&reczoneNo=-1&cofilter=0&cokeywords=0&cotype=all

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