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Portfolio Manager

Job Description

About the Opportunity

Responsible for driving financial discipline, strengthening governance initiatives across the portfolio.

Responsibilities

  • Assist in evaluating M&A opportunities, JV structuring, and integration planning.
  • Conduct financial analysis (valuation, sensitivity/scenario analysis, investment returns).
  • Build and review financial models for projects.
  • Developing good working relationships with stakeholders.

About You

Job Requirements:

Minimum Qualification: Bachelor's Degree in financial management, economics or a related discipline. Master in Business Administration (MBA) or Chartered Financial Analyst (CFA) is preferred.

Minimum Experience: 7 - 10 years of relevant experience with strong financial modelling experience.