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Dubai based, Director – Public Markets Investment Allocation - Sovereign Fund

IFSC Online Ltd.

Dubai

On-site

EUR 250,000 - 350,000

Full time

19 days ago

Job summary

A sovereign-backed investment platform in Dubai is seeking a seasoned Director for Public Markets Investment Allocation. This high-impact role will lead a $100 million public markets portfolio with a mandate to scale to $1.5 billion, requiring deep market understanding and strong leadership in investment governance.

Qualifications

  • 10+ years of experience in public markets investing.
  • Deep knowledge of global equity and fixed income markets.
  • Strong command of investment risk frameworks and governance.

Responsibilities

  • Lead strategic allocation and portfolio construction for public markets.
  • Oversee deployment of initial $100 million allocation.
  • Evaluate and select external fund managers.

Skills

Analytical skills
Presentation skills
Decision-making skills

Education

CFA charterholder

Job description

Dubai based, Director – Public Markets Investment Allocation - Sovereign Fund

Director – Public Markets Investment Allocation

Location : Dubai, UAE

Seniority : Director

Experience : 10+ years

About the Role

A sovereign-backed investment platform in Dubai is seeking a seasoned Director – Public Markets Investment Allocation to lead the deployment and ongoing management of a public markets portfolio. The initial allocation will be $100 million , with a long-term mandate to grow the portfolio to $1.5 billion across multiple asset classes.

This is a high-impact, strategic role that requires deep understanding of public markets, portfolio construction, and institutional risk frameworks. The successful candidate will shape investment policy, select external managers, and directly influence long-term capital allocation decisions.

Key Responsibilities

  • Lead the strategic allocation and portfolio construction for an institutional public markets portfolio
  • Oversee the deployment of the initial $100 million allocation, with clear planning for scale-up to $1.5 billion over time
  • Design and manage the investment governance framework including benchmarks, limits, and liquidity parameters
  • Evaluate and select external fund managers across asset classes (equities, fixed income, hedge funds, etc.)
  • Monitor portfolio performance, exposures, and compliance with risk and return objectives
  • Present portfolio insights, performance updates, and recommendations to the investment committee and executive leadership
  • Stay informed on global macro trends, capital markets activity, and peer practices
  • Collaborate with internal risk, compliance, and operations teams to ensure robust oversight

Candidate Profile

  • 10+ years of experience in public markets investing, manager selection, asset allocation, or OCIO / advisory roles
  • Deep knowledge of global equity and fixed income markets, fund structures, and institutional-grade portfolio design
  • Strong command of investment risk frameworks, performance attribution, and governance principles
  • Demonstrated experience in scaling and managing institutional portfolios
  • Experience interacting with investment committees, senior stakeholders, and external managers
  • Strong analytical, presentation, and decision-making skills
  • CFA charterholder or equivalent professional qualification preferred
  • Previous experience in a sovereign wealth fund, pension, family office, or endowment is highly regarded

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