Senior Financial Investment Manager

Date:  7 Jul 2026
Company:  Assets Real Estate Development
Location: 

QA

Job Summary

The Senior Financial Investment Manager is responsible for leading the evaluation, execution, and management of investment opportunities across the organisation’s business portfolio. The role provides disciplined financial and strategic oversight across the full investment lifecycle, from origination and due diligence through approval, execution, and post‑investment performance management. It supports executive leadership and governance bodies by delivering data‑driven investment recommendations that maximise value while managing financial, commercial, and strategic risk.

Job Responsibilities 1

Investment Strategy and Portfolio Management

Lead development and execution of the organisation’s investment strategy in alignment with corporate objectives. Manage a diversified investment portfolio, ensuring optimisation of returns, strategic fit, and disciplined capital allocation.

Investment Evaluation and Due Diligence

Oversee financial, commercial, and strategic due diligence for new investment opportunities, acquisitions, joint ventures, and strategic partnerships. Ensure rigorous assessment of risk, return, valuation, and long‑term viability.

Financial Modelling and Valuation

Develop and review complex financial models, valuations, and investment cases, including scenario, sensitivity, and stress testing. Ensure assumptions are robust, defensible, and aligned with market and operational realities.

Investment Approval and Governance

Prepare comprehensive investment papers for executive committees, investment committees, and boards. Provide clear recommendations supported by financial analysis, risk assessment, and strategic rationale.

Post‑Investment Performance Management

Monitor performance of approved investments against business plans, financial targets, and return metrics. Identify underperformance risks and recommend corrective, optimisation, or exit strategies as required.

Risk Management and Capital Protection

Identify, assess, and manage financial and commercial risks across the investment portfolio. Ensure appropriate risk mitigation structures, covenants, and governance mechanisms are in place to protect capital.

Stakeholder and Partner Engagement

Engage with internal stakeholders, external advisors, partners, and investors to progress investment initiatives. Coordinate inputs from legal, technical, commercial, and operational teams.

Market Intelligence and Opportunity Development

Monitor market trends, sector developments, and competitive dynamics to identify new investment opportunities. Provide insights to senior leadership to support proactive, opportunity‑driven decision‑making.

Job Responsibilities 2

Additional Responsibilities 3

Job Knowledge & Skills

Investment Analysis and Valuation

Deep expertise in financial analysis, valuation methodologies, and return assessment across equity, debt, and hybrid investment structures.

Strategic and Commercial Acumen

Strong understanding of business models, market dynamics, and competitive positioning, with the ability to assess strategic fit and long‑term value.

Risk Assessment and Mitigation

Ability to identify financial, commercial, and structural risks and design mitigation strategies that balance return and capital protection.

Executive Communication and Influence

Strong capability to present investment insights, recommendations, and risks clearly and confidently to senior leadership and boards.

Stakeholder and Transaction Management

Proven ability to coordinate complex stakeholder groups and manage advisors, partners, and counterparties through transaction lifecycles.

Job Experience

12–18 years of experience in investment management, corporate finance, private equity, or strategic finance roles.Proven experience managing complex investment transactions and portfolios across multiple sectors or asset classes.Demonstrated exposure to investment committees, executive leadership, and board‑level decision processes.

Competencies

Agility
Build High-Performing Teams
Build Process and Systems
Drive Cost Optimization
Financial Planning and Analysis L4
Financial Risk Management L4
International Finance L4
Investment Planning L4
Leadership
Provide Direction
Quality
Resilience
Speed of Execution
Stakeholder Management L4
AI Fluency

Education

Bachelor's Degree in any related field
Master's degree in Finance, Accounting, Economics, Pubic Administration or business administration, and other related field or Chartered Accountant (CA)