Manager - Outclass - Investment Domain
SHANTI INFORMATICS
All India, Gurugram • 1 month ago
Experience: 1 to 5 Yrs
PREMIUM
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Job Description
You will be joining Masters' Union as the Manager of MUIF, a student-led investment fund focused on equity, debt, and alternative investments, with a corpus of up to 5 crore. Your role will involve guiding students in managing the fund, conducting investment workshops, and ensuring the fund operates at the highest industry standards. You will act as a bridge between the fund and external industry stakeholders to enhance learning opportunities for students.
Your responsibilities will include:
- Providing strategic direction to the investment committee on asset allocation, risk management, and security selection.
- Supervising and mentoring student analysts to ensure investment decisions meet professional fund management standards.
- Developing and refining investment frameworks based on macroeconomic trends, sectoral outlook, and quantitative strategies.
- Guiding students in equity research, valuation modeling, and risk assessment for stock selection.
- Conducting workshops and guest lectures on portfolio management, financial markets, and valuation techniques.
- Offering career mentorship for students interested in investment management roles.
- Organizing stock pitch competitions, trade-a-thons, and market research reports.
- Leveraging industry networks to bring in guest speakers, investment professionals, and fund managers for sessions.
- Facilitating student internships, placements, and collaborations with top investment firms and mutual funds.
- Representing MUIF at finance and investment conferences to enhance Masters' Union's reputation in the finance domain.
- Ensuring ethical investment guidelines and regulatory compliance are followed.
- Monitoring portfolio performance and updating stakeholders on fund progress.
- Maintaining MS Excel-based financial models with forecasts.
- Conducting company valuations using approaches such as DCF, DDM, trading and transaction multiples, and EVA.
- Creating company profiles, earnings and flash notes, quarterly updates, coverage reports, newsletters, etc.
- Benchmarking companies using financial and operating statistics and collecting financial data from industry databases.
- Creating presentations on industry and company research for marketing activities.
- Handling ad hoc research requests and summarizing investment conference calls.
The ideal candidate for this role will have:
- 1-2 years of experience in public markets investing, mutual funds, hedge funds, equity research, or portfolio management.
- Strong understanding of financial modeling, valuation methodologies, and risk management.
- Excellent communication and mentoring skills with a passion for teaching and training.
- Chartered Accountant (CA) - Ranker.
- Experience in a top mutual fund, asset management company (AMC), or investment advisory firm.
- CFA (Level 2 cleared) or FRM certification will be an added advantage. You will be joining Masters' Union as the Manager of MUIF, a student-led investment fund focused on equity, debt, and alternative investments, with a corpus of up to 5 crore. Your role will involve guiding students in managing the fund, conducting investment workshops, and ensuring the fund operates at the highest industry standards. You will act as a bridge between the fund and external industry stakeholders to enhance learning opportunities for students.
Your responsibilities will include:
- Providing strategic direction to the investment committee on asset allocation, risk management, and security selection.
- Supervising and mentoring student analysts to ensure investment decisions meet professional fund management standards.
- Developing and refining investment frameworks based on macroeconomic trends, sectoral outlook, and quantitative strategies.
- Guiding students in equity research, valuation modeling, and risk assessment for stock selection.
- Conducting workshops and guest lectures on portfolio management, financial markets, and valuation techniques.
- Offering career mentorship for students interested in investment management roles.
- Organizing stock pitch competitions, trade-a-thons, and market research reports.
- Leveraging industry networks to bring in guest speakers, investment professionals, and fund managers for sessions.
- Facilitating student internships, placements, and collaborations with top investment firms and mutual funds.
- Representing MUIF at finance and investment conferences to enhance Masters' Union's reputation in the finance domain.
- Ensuring ethical investment guidelines and regulatory compliance are followed.
- Monitoring portfolio performance and updating stakeholders on fund progress.
- Maintaining MS Excel-based financial models with forecasts.
- Conducting company valuations using approaches such as DCF, DDM, trading and transaction multiples, and EVA.
- Creating company profiles, earnings and flash notes, quarterly updates, coverage reports, newsletters, etc.
- Benchmarking companies using financial and operating statistics and collect
Skills Required
Financial Modeling
Risk Management
Equity Research
Portfolio Management
Asset Allocation
DCF
DDM
EVA
Financial Analysis
Investment Management
Mutual Funds
Hedge Funds
Portfolio Management
Financial Markets
Portfolio Management
Investment Strategies
Industry Research
Financial Reporting
Financial Modelling
Regulatory Compliance
MS Excel
Bloomberg
Valuation Methodologies
Macro Economic Trends
Quantitative Strategies
Public Markets Investing
Financial Data Analysis
Company Valuations
Thomson Reuters
Posted on: March 24, 2026
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