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Investment Portfolio Manager

2 months ago


Melbourne, Victoria, Australia Kaizen Recruitment Full time
About the Company

Kaizen Recruitment is proud to partner with a rapidly growing impact investor focused on the Venture Capital & Private Equity sectors. This forward-thinking organization is committed to creating positive social and environmental change through strategic investments.

About the Role

We are seeking a highly motivated Investment Analyst to support our client's investment function and drive the success of their impact investing portfolio. Reporting to an established Director, this position offers an exciting opportunity for driven investment professionals or professionals with a management consulting background to transition into the investment sector.

Key Responsibilities
  • Undertake pre-screening of investment proposals and pitch decks, preparing reports for senior stakeholders on the viability and validity of the proposals.
  • Utilize strong investment analysis and financial background to generate investment memorandums and advice on potential investment opportunities.
  • Work with internal teams and subject matter experts to undertake due diligence on all aspects of investment assessment, including market analysis, IP/tech position, business model, go-to-market strategy, financial modeling, and deal terms.
  • Promote the firm's reputation and investment success through effective stakeholder management and support.
  • Collaborate cross-functionally to ensure the successful delivery of investment and corporate plans.
  • Develop and maintain strategic partnerships with internal and external stakeholders, fostering a collaborative ecosystem for impact investing initiatives.
Requirements
  • A background in funds management, private equity, venture capital, or management consulting, with a strong quantitative skillset and professional curiosity.
  • Demonstrated interest in impact investing and a passion for driving positive social and environmental change.
  • Strong analytical skills, with experience in maintaining or building financial models.
  • Strong communication and stakeholder management skills, with the ability to influence and negotiate effectively.
  • Sound judgment and decision-making abilities, particularly in risk monitoring and reporting.
  • A collaborative mindset and the ability to work effectively in a cross-functional team environment.
  • A Bachelor's degree in commerce, economics, business, or a relevant discipline.