Investment Policy
Investment Analyst, Debt and Alternatives
Role Overview
The primary role of the Investment Analyst, Debt and Alternatives, is to provide analytical and operational support to the Head of Debt and Alternatives in the development of the Fund’s Debt and Alternatives strategies, and the implementation and ongoing management of the Fund’s Debt and Alternatives portfolios in accordance with that strategy.
Principal Responsibilities
The specific responsibilities for the Investment Analyst, Debt and Alternatives, are to provide analysis and day-to-day support for:
- Monitoring the ongoing manager relationships in terms of portfolio and performance analysis and reporting;
- Supporting the Debt and Alternatives Team in reviewing potential managers, negotiating investment agreements and the implementation of ideas;
- Supporting the Debt and Alternatives Team in its interaction with the Operations Team to ensure comprehensive, accurate and timely reporting of portfolio positions and returns;
- Support the production of Board papers from the Debt and Alternatives Team in a timely manner;
- Other duties as required.
Qualifications and Experience
- A tertiary education including a degree in finance or a related discipline.
- Strong interest in Investments.
- A good knowledge of Microsoft Word, Excel and Outlook.
To explore this opportunity further in confidence, please call Paul Mann on 03 8656 6400 or apply online at recruitment@futurefund.gov.au
Click here to view information for applicants.
Page Last Updated:
6 July 2010