Overview In this role you drive the evaluation and sourcing of alternative asset investments, aligning opportunities with client goals. You work with cross-functional teams to ensure rigorous due diligence and informed decision making, contributing to portfolio construction and performance benchmarking. You will monitor trends in alternative assets and support a collaborative, inclusive culture that fosters innovation. This position offers a chance to impact risk-adjusted returns across private equity, private credit, and other asset classes. You will engage with external managers and internal committees to deliver timely investment results.
Responsibilities- Source and evaluate alternative asset opportunities aligned with client goals
- Perform manager due diligence and present recommendations to committees
- Collaborate with legal and compliance to finalize investment documentation
- Monitor investment performance and manage external manager relationships
- Enhance processes for benchmarking and quantifying results
- Stay informed on industry trends and conduct ad-hoc research
- Contribute to portfolio construction and monitoring for alternative assets
- Support timely delivery of investment results to clients
Key requirements- Bachelor's degree in economics, finance, accounting, mathematics, or related quantitative field
- Minimum 5 years in alternative asset management or related front-office roles
- Strong understanding of capital markets and alternative asset fundamentals
- Experience in portfolio construction and monitoring within alternative asset classes
- Proficiency evaluating and reporting on relationships with alternative managers
- Ability to adapt to shifting priorities and meet tight deadlines
- Excellent communication skills and collaborative mindset
- Knowledge of insurance company frameworks and capital-efficient strategies (preferred)
- communication skills
- collaboration
- adaptability
- due diligence
- portfolio construction
- benchmarking