Senior Portfolio Manager - ADGM/VARA

🏢 confidential jobs
📍 United Arab EmiratesFull-timeOn-site
📅 Posted: Today🔄 Updated: Today
CV%
✨ AI Summary
This role is for a Senior Portfolio Manager at a leading global Web3 and digital asset institution establishing an institutional digital asset platform in the UAE, operating through regulated entities in Abu Dhabi (ADGM) and Dubai (VARA). The position involves discretionary portfolio management, digital asset fund operations, and direct regulatory responsibility. Key responsibilities include executing investment strategies across various asset classes, managing fund operations (capital movements, custody, trade execution), and serving as a director for both ADGM and VARA entities, acting as a VARA Responsible Individual. The role also entails monitoring fund-level risk, reporting to stakeholders, and supporting audits. The ideal candidate will have a minimum of 5 years of relevant experience, a Bachelor's degree, a strong understanding of digital asset markets and DeFi, and the ability to meet stringent regulatory requirements.
Required Skills
Other
Nav CalculationDeFi protocolsDigital asset custodyPerpetual futuresEthereum smart contractsERC-20 standardsFund OperationsRisk controls
Soft Skills & Professional Competencies
Execution
Finance, Legal & Governance
Portfolio Management
Information Technology
NIST
Requirements
Candidates must meet regulatory eligibility standards for both ADGM and VARA regimes, possess a Bachelor's degree in a relevant field, and have a minimum of 5 years of experience in portfolio management, trading, or fund operations, with depth in areas such as discretionary portfolio management, proprietary trading, digital asset fund management, or institutional fund operations. Understanding of crypto quant strategies, DeFi protocols, and Ethereum smart contracts is essential, along with experience in fund operations, custody, and NAV calculation. Prior experience with ADGM/VARA-licensed entities and relevant certifications like CFA, CAIA, or FRM are advantageous. Strong risk management, communication, and adaptability in a developing environment are also key.
Description
About the RoleA leading, global Web3 and digital asset institution is building an institutional digital asset platform in the UAE, operating through two regulated entities: an ADGM FSRA-licensed fund manager (Category 3C) in Abu Dhabi, and a VARA-licensed entity in Dubai.We are hiring an experienced Portfolio Manager to play a key role in shaping this business. This is a hands-on role that combines discretionary portfolio management and digital asset fund operations with personal regulatory responsibility in two jurisdictions. The successful candidate will be a key operational decision-maker for the platform's funds with direct responsibility for regulatory reportings, trade execution, and fund operations.ResponsibilitiesPortfolio ManagementExecute the investment strategy approved by the Investment Committee across quantitative fund-of-funds, DeFi yield, and real-world asset strategies. Allocate to underlying quantitative managers and manage onboarding, capital deployment, rebalancing, and withdrawals. Deploy capital into whitelisted DeFi protocols and manage position sizing and risk controls. Fund OperationsOversee all capital movements: fiat and stablecoin on- and off-ramps, transfers to DeFi wallets and exchange accounts, and redemption payouts. Operate the institutional virtual asset custodian, including transaction execution, policy engine whitelists, and wallet architecture. Approve outgoing wire and stablecoin transfer instructions for redemptions, in coordination with the fund administrator. Work with the fund administrator on subscriptions and redemptions, position data for NAV, and daily on-chain / off-chain reconciliation. Regulatory & GovernanceServe as a director of both the ADGM and VARA entities. Act as a VARA Responsible Individual, accountable for the day-to-day conduct of the licensed activity and available to the regulator. Work alongside the Compliance Officer, MLRO, Risk Officer, and Finance Officer on the control framework, and support internal and external audit functions. Risk & ReportingMonitor fund-level risk limits: protocol diversification, exposure caps by venue, leverage constraints, and drawdown triggers. Maintain operational risk awareness across DeFi protocols (smart contract, oracle, and governance risk) and exchange counterparties. Report to the Investment Committee and both boards on performance, risk metrics, and operational matters. Support the annual audit with investment records, trade logs, and rebalancing documentation. RequirementsRegulatory EligibilityAble to satisfy the Fit and Proper standards of both regimes, including relevant academic or professional qualifications, adequate virtual asset and management experience, honesty, reputation, integrity, and a sound understanding of the applicable regulatory framework. Eligible for FSRA approval as a Director, Partner, or Senior Manager performing the Portfolio Manager function, and for VARA approval as a Responsible Individual. Prior experience as a regulated approved person or licensed individual is a strong advantage. ExperienceMinimum 5 years in portfolio management, trading, or fund operations, including managerial or supervisory experience relevant to the Portfolio Manager function. Depth in one or more of: discretionary portfolio management or proprietary trading at a bank, asset manager, or hedge fund; digital asset fund management (DeFi yield, quantitative trading, or crypto fund-of-funds); institutional fund operations with direct involvement in trade execution, reconciliation, or custodian interaction. Technical KnowledgeUnderstanding of crypto quant strategies: delta-neutral, basis, carry, and perpetual futures. Understanding of DeFi protocols and mechanics: lending, staking, liquidity provisioning, and yield strategies. Familiarity with engaging in Ethereum smart contracts, ERC-20 standards, and the ability to read and verify transactions on block explorers. Experience with fund operations including institutional digital asset custody, NAV calculation, and fund administration workflows. Qualifications & AttributesExperience in ADGM and/or VARA-licensed entities. Bachelor's degree in finance, economics, computer science, engineering, or a related field. CFA, CAIA, or FRM is an advantage. Proactive risk identification and escalation. Clear, concise communication with boards, regulators, and service providers. Comfort operating in a build-stage environment where processes are still being established.
✨ Premium Match Details
Deep-dive CV analysis, customized Cover Letters, and Interview prep!
📊 Match Analysis
Insights against your active CV
📊
Personalized Match Analysis
Upload your CV to see exact matching percentages, detailed skills mapping, and gap analysis for this role.
🎯 Overalli74%
⚡ Skillsi85%
View Breakdown
Ontology Match: 85.0
Matched:✓ Requirements Matching✓ Ontology Skills Mapping
📜 Eligibilityi49%
View Breakdown
Local: 19600%
🏗️ Career Fiti91%
View Breakdown
Seniority: 91.0
📋 Requirementsi67%
View Breakdown
Domain: 67.0
🔥 Motivationi78%
View Breakdown
Title Fit: 78.00