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Investment Analyst
Qatar Insurance Group
Qatar, Doha
Qatar Insurance Company Q.S.P.C (QIC, QIC Group) is a publicly listed insurer with a consistent performance history of over 60 years and a global underwriting footprint. Founded in 1964, QIC was the first domestic insurance company in the State of Qatar. Today, QIC is the market leader in Qatar and a dominant insurer in the GCC and MENA regions. QIC is one of the largest insurance companies in the MENA region in terms of written premium and total assets and is listed on the Qatar Stock Exchange and has a market capitalization in excess of QAR 8 billion. QIC is also the first digital insurance company in Qatar and was crowned as the best online insurance company in the Middle East at the Global Banking & Finance Review Awards 2022.About Us:Epicure Investment Management is dedicated to managing assets across a diversified portfolio. We pride ourselves on our analytical rigor, innovative strategies, and collaborative work environment. As we continue to grow, we are looking to expand our Alternatives team with a skilled Analyst who possesses a background in private markets and a keen eye for identifying and evaluating investment opportunities.Job Description:We are seeking a highly motivated and experienced Analyst to join our dynamic team. The ideal candidate will have a strong background in working with third-party funds, an understanding of alternative sub-asset classes, and the ability to contribute significantly to our internal investment process. This role involves sourcing, evaluating, and conducting due diligence on investment opportunities, as well as preparing detailed investment memos and reports for senior management.ResponsibilitiesInvestment Process Management: Lead and structure the internal investment process from sourcing and evaluation to diligence and final recommendation.Investment Analysis: Conduct comprehensive financial analysis, including fundamental and comps analyses, to evaluate and value portfolio companies across various alternative sub-asset classes such as private equity, private debt, and hedge funds.Sourcing Opportunities: Proactively identify and source attractive fund investment opportunities, leveraging a strong network and industry research.Reporting: Prepare detailed investment memos and periodic update reports for senior management, ensuring clear communication of investment rationale, risks, and expected outcomes.Collaboration: Work closely with the Alternatives team and other departments to ensure a cohesive and collaborative approach to investment decision-making.QualificationsExperience: 2-5 years of relevant work experience in a large family office or institutional setting, with a focus on third-party funds and alternative investments.Education: MBA, CFA, or equivalent qualification preferred.Skills: Exceptional financial analysis skills, strong understanding of alternative sub-asset classes, and proficiency in investment valuation techniques.Attributes: Excellent communication skills, both written and verbal, with the ability to work effectively in a team-oriented environment.Innovative Thinking: Capacity to think creatively and strategically in identifying investment opportunities and solving complex problems.To apply, please submit your resume, cover letter, and any relevant certifications. In your cover letter, highlight your experience with alternative investments, your approach to investment analysis, and why you believe you are the ideal candidate for this role.We thank all applicants for their interest in joining our team, but only those selected for interviews will be contacted.#J-18808-Ljbffr
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