Specialist, Portfolio Allocation & Monitoring

🏢 Arab Monetary Fund
📍 Abu Dhabi, United Arab EmiratesFull-timeOn-site
📅 Posted: 3d ago🔄 Updated: 3d ago
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✨ AI Summary
The Specialist, Portfolio Allocation & Monitoring (PAM) at Arab Monetary Fund is responsible for analyzing, monitoring, and evaluating investments in public and private markets, including alternatives, equity, and equity-like strategies. This role supports investment decision-making through quantitative and qualitative analysis, portfolio analytics, optimization, and performance/risk monitoring. The incumbent will contribute to investment strategy and asset allocation optimization, aligning with risk appetite and objectives, with a focus on alternatives and equity-like strategies. Key responsibilities include evaluating investment opportunities, assessing relative value, monitoring portfolio performance and risk, and proposing rebalancing recommendations. The role also involves supporting the development of quantitative portfolio analytics frameworks and automation tools. The ideal candidate will have 8-10 years of experience in investment management, sovereign wealth funds, asset owners, or investment banks, with a strong background in investment analysis, financial quantitative modeling, portfolio construction, asset allocation, portfolio analytics, and risk monitoring. A Master's degree in Investment Management, Finance, or a related quantitative field from a reputable university is required. Professional credentials such as CFA, CAIA, or CIPM are mandatory.
Required Skills
Other
dispersion modellingcross-asset factor analyticsasset allocationcorrelation analysisfinancial quantitative modellingportfolio analytics
Finance, Legal & Governance
Investment AnalysisPortfolio Management
Engineering, Construction & Trades
ATS Systems
Productivity & Workplace Tools
RPA
Science & Research
Optimization
Information Technology
Monitoring
Business, Sales & Management
Performance Management
Requirements
The role requires 8-10 years of experience in investment management, sovereign wealth funds, asset owners, or investment banks, with strong knowledge of investment analysis across alternatives, equity, and equity-like strategies, as well as performance analysis. A Master's degree in Investment Management, Finance, or a related quantitative field is mandatory, along with professional credentials such as CFA, CAIA, or CIPM.
Description
Job Purpose:The Specialist, Portfolio Allocation & Monitoring (PAM) is responsible for analysing, monitoring, and evaluating investments and opportunities in various public and private markets and strategies - such as alternative strategies, equity and equity-like to support the investment decision-making process. The incumbent conducts also quantitative and qualitative analysis and monitoring, portfolio analytics and optimization as well as performance analysis and risk monitoring. Additionally, the role contributes to investment strategy and asset allocation optimisation in line with the risk appetite and investment objectives with a focus on alternatives and equity and equity-like strategies.Roles and Responsibilities / Key AccountabilitiesConduct rigorous quantitative and qualitative evaluation of investment opportunities across public and private markets, including alternatives, equity, and equity-like strategies.Assess relative value opportunities across asset classes using cross-asset factor analytics, correlation analysis, and dispersion modelling to identify alpha and diversification sources.Evaluate allocation opportunities in alternative strategies (e.g., hedge funds, real assets, private equity, private credit) as well as public equity and equity-like strategies, considering liquidity and risk factors.Monitor and report portfolio performance against benchmarks, mandates, and investment objectives.Conduct performance attribution and risk-adjusted return analysis at asset class, strategy, and manager levels.Track risk exposures, drawdowns, liquidity profiles, and style drifts across strategies.Identify systemic and idiosyncratic risks, underperformance drivers, and inefficiencies; propose data-driven rebalancing recommendations.Apply optimization techniques to evaluate portfolio trade-offs under defined return objectives and risk constraints.Support strategic and dynamic asset allocation processes aligned with risk budgets and return objectives.Assess diversification benefits, correlation structures, and downside risk characteristics across asset classes.Contribute to portfolio rebalancing decisions based on valuation signals, macro outlook, and risk considerations.Support the development of quantitative portfolio analytics frameworks, workflow automation, and AI-enabled decision-support systems.Enhance analytical frameworks, tools, and data infrastructure supporting investment decisions.Analyze portfolio sensitivities to macroeconomic variables, market factors, and liquidity conditions.Contribute to investment strategy and asset allocation with data-driven recommendations.Monitor global macroeconomic developments and financial market trends.Translate macroeconomic and market insights into actionable investment ideas for portfolio positioning and risk monitoring.Job Qualifications and RequirementsKnowledge and Experience8–10 years of experience in the investment management industry, sovereign wealth funds, asset owners, or investment banks.Strong knowledge of investment analysis across alternatives, equity, and equity-like strategies, as well as performance analysis.Experience in financial quantitative modelling, portfolio construction, asset allocation, portfolio analytics, and risk monitoring.EducationMaster's degree in Investment Management, Finance, or a related field with a strong quantitative focus from a reputable university.CertificationsProfessional credentials such as CFA, CAIA, or CIPM are required.
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🎯 Overalli74%
⚡ Skillsi85%
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Ontology Match: 85.0
Matched:✓ Requirements Matching✓ Ontology Skills Mapping
📜 Eligibilityi49%
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Local: 19600%
🏗️ Career Fiti91%
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Seniority: 91.0
📋 Requirementsi67%
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Domain: 67.0
🔥 Motivationi78%
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Title Fit: 78.00