Portfolio Manager – Stabilisation and Future Generations Funds

Job Summary

The Portfolio Manager- Stabilisation and Future Generations Funds is responsible for managing investment portfolios across fixed income, equities, and illiquid assets. This role ensures the prudent investment of the Stabilisation Fund to support revenue stability and the Future Generations Fund to build long-term savings for Nigeria. The position demands strategic portfolio management, risk oversight, and compliance with investment policies, with accountability for optimising returns while maintaining liquidity. As a key partner to senior management, the Portfolio Manager will drive investment strategy, oversee asset allocation, and support sustainable wealth creation for future generations.

Job Responsibilities

Develop and manage a well-balanced portfolio across fixed income, equities, and illiquid investments to achieve risk-adjusted returns.
Proactively monitor portfolio activity and trade positions, providing timely and insightful reports to management.
Conduct in-depth portfolio performance analysis across asset classes and recommend strategic adjustments.
Provide market intelligence and investment recommendations to senior management, ensuring alignment with economic trends.
Plan and execute exit strategies to optimise returns and ensure efficient divestment.
Build and maintain strong relationships with external stakeholders, including financial institutions, investment partners, and regulators, to stay ahead of market trends.
Collaborate with risk managers to assess portfolio risks, define mitigation strategies, and ensure regulatory compliance.
Develop and implement tools to monitor government fiscal positions and ensure timely fund allocation for economic stabilisation.
Support the development of investment policies and guidelines to enhance portfolio governance and decision-making.

Educational Qualifications

First Degree in Finance/ Accounting or other relevant disciplines.
MBA in Finance (preferred).
CFA qualification or in progress would be an advantage.

Knowledge, Skills And Experiences

Minimum of ten (10) years cognate experience with at least five (5) years portfolio management experience at a reputable investment / asset management institution.
Strong market knowledge with experience in a broad array of financial market instruments.
Strong analytical skills and experience in asset management and trading.
Strong business acumen, maturity and tact, including the ability to relate with highest levels of management of financial institutions and other stakeholders.
Decisive decision maker with excellent research, analytical, quantitative and problem-solving skills.
Highly motivated, self-starter with ability to work independently.
Track record of successful investing.
Appreciable understanding of the extant legislation.
Demonstrated commitment to ethical standards and high level of integrity.
Strong interpersonal, communication and negotiation skills.

Send your application to vacancies@rhizomeng.com

Apply via :

vacancies@rhizomeng.com