Portfolio Manager
Sport Psychology Academy | أكاديمية علم النفس الرياضي · Dubai, United Arab Emirates
Apply & track with Apply Edge🌟 We're Hiring: Portfolio Manager📍 Location: United Arab Emirates (Remote)🕒 Employment Type: Part-Time💼 Experience Level: Mid-Level to Senior🌐 Work Arrangement: Fully RemoteAbout UsWe are a globally focused organization committed to supporting disciplined investment management and informed financial decision-making. Our teams combine market research, portfolio analysis, risk awareness, and strategic thinking to help manage investments in line with defined objectives. We value integrity, analytical excellence, accountability, prudent risk management, and continuous improvement.The RoleWe are seeking a Portfolio Manager to oversee portfolio strategy, investment analysis, asset allocation, and ongoing performance monitoring. This part-time remote role is suited to an experienced investment professional who can evaluate market opportunities, manage portfolio risks, communicate investment insights, and make disciplined decisions aligned with portfolio objectives.Key ResponsibilitiesDevelop and implement portfolio strategies aligned with investment objectives and risk parameters.Monitor portfolio performance, asset allocation, market conditions, and investment exposures.Conduct fundamental, quantitative, and market analysis to evaluate investment opportunities.Research equities, fixed income, funds, alternative assets, and other relevant investment instruments.Review portfolio risk, diversification, liquidity, concentration, and overall exposure.Make investment recommendations and execute portfolio adjustments within approved guidelines.Track market developments, economic trends, industry conditions, and relevant financial events.Prepare portfolio performance reports, investment reviews, forecasts, and management updates.Collaborate with research, finance, risk, compliance, and senior management teams.Identify opportunities to improve portfolio performance while maintaining disciplined risk controls.RequirementsBachelor’s degree or equivalent qualification in Finance, Economics, Investment Management, Business, or a related field preferred.3+ years of professional experience in portfolio management, investment analysis, asset management, or a related field preferred.Strong understanding of financial markets, portfolio construction, asset allocation, valuation, and investment risk.Experience analyzing financial statements, market data, investment performance, and portfolio exposures.Strong quantitative, analytical, and financial modeling capabilities.Familiarity with portfolio management systems, financial databases, research platforms, and productivity tools.Excellent decision-making, communication, and reporting skills.Strong attention to detail with a disciplined and risk-aware investment approach.Ability to work independently and manage multiple investment priorities in a remote environment.Professional certifications are not required unless specifically relevant to the role.What We OfferFlexible part-time hours within a fully remote working environment.Competitive compensation aligned with experience and investment responsibilities.Opportunities to manage and analyze diversified portfolios across international markets.Exposure to global financial markets, investment strategies, and evolving economic trends.Professional growth through portfolio strategy, investment research, risk analysis, and asset allocation.A collaborative environment focused on disciplined decision-making, analytical excellence, responsible risk management, and continuous improvement.