Portfolio Analytics - GCC Fund (VC/PE)

Riyadh Permanent View Job Description
This Portfolio Analytics Manager role requires 6-7 years of experience to conduct in-depth market research, financial modelling, and investment analysis to support investment decisions in the venture capital/private equity space. The ideal candidate will be a highly analytical and data-driven individual with strong communication skills and proficiency in relevant software and tools.
  • Competitive Salary & Benefits
  • Good career progression

About Our Client

The client is a leading private markets investor backed be leading SWFs in the region. They have $3B AUM and invest across funds regionally and globally.

Job Description

  • Market Research & Analysis: Evaluating market trends, industry landscapes, and competitive dynamics to identify investment opportunities and potential risks.
  • Investment Analysis & Due Diligence: Conducting thorough due diligence on potential investments, including financial statement analysis, market research, and risk assessment. This may involve analysing fund-of-funds and GP performance.
  • Financial Modelling: Developing and maintaining complex financial models to evaluate investment opportunities, project future performance, and conduct sensitivity analyses.
  • Data Analysis & Reporting: Analysing large data sets from various sources, including investment databases and market research reports, to extract meaningful insights. Preparing reports and presentations to communicate findings to stakeholders.
  • Vendor & Data Management: Working with IT vendors and data providers to ensure access to necessary data and tools for analysis. This may include managing relationships and negotiating contracts.



The Successful Applicant

  • Experienced Analyst: 6-7 years in market research, investment analysis, or financial due diligence (ideally in VC/PE/investment banking).
  • Data-Driven Focus: Strong analytical skills with proficiency in Excel, Python/R, and BI tools (Power BI, Tableau) for market research, financial modelling, and investment analysis.
  • Investment Acumen: Ability to evaluate market trends, conduct due diligence, assess financial performance, and analyse fund-of-funds and GP performance.
  • Effective Communicator: Clearly conveys findings and insights to stakeholders through reports and presentations.



What's on Offer

Opportunities for professional growth and advancement within the company.

Competitive salary and benefits

Contact
Shahzeb Alam
Quote job ref
JN-022025-6681425

Job summary

Sector
Banking & Financial Services
Subsector
Venture Capitalism & Private Equity
Industry
Financial Services
Location
Riyadh
Contract type
Permanent
Consultant name
Shahzeb Alam
Job reference
JN-022025-6681425
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