Manager – Investor Allocation & Relations – Funds Black Turtle

The Corporate Institute

Gurgaon

On-site

INR 2,500,000 - 4,500,000

Full time

14 days+
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Job summary

The Corporate Institute seeks an experienced leader to drive end-to-end investor allocations and investor relations for hedge funds and institutional asset managers. You will coordinate with finance and legal teams to manage capital calls and distributions across multi-currency frameworks.

8–14 years in investor allocation are required, with deep expertise in complex fund structures, fee models, and unitization.

Qualifications

  • 8–14 years of experience in Investor Allocation.
  • Deep subject matter expertise in Investor Allocation for hedge funds and institutional asset managers.
  • Proven knowledge of complex fund structures (master-feeder, side pockets, hybrid vehicles), multi-currency frameworks, and unitization.
  • Strong understanding of diverse fee models (management fees, performance/incentive fees, hurdle rates, high-water marks, tiered fee structures).

Responsibilities

  • Lead the end-to-end investor allocation process by coordinating with internal finance and legal teams to ensure timely capital calls and distributions.
  • Develop and execute investor communication strategies, including quarterly reports, performance updates, and bespoke presentations to address investor queries.
  • Look for candidates from Asset Management/Fund companies; role: IC.

Skills

Investor Allocation
Investor Relations
Hedge Funds
Multi-Currency Frameworks
Unitization
Complex Fund Structures
Fee Models
Stakeholder Influence
Verbal & Written Communication
Critical Thinking

Education

MBA (Tier 1/2 Institute)
CA

Job description

– Lead the end-to-end investor allocation process by coordinating with internal finance and legal teams to ensure timely capital calls and distributions for our institutional partners.

– Develop and execute comprehensive investor communication strategies, including the preparation of quarterly reports, performance updates, and bespoke presentations to address complex investor queries.

Core Investor Allocations and Investor Relations Background:
  • – Capital Calls & Distributions
  • – Complex Fund Structures
  • – Multi-Currency Frameworks & Unitization
  • – Diverse Fee Models (Management Fees, Performance/Incentive Fees, Hurdle Rates, High-Water Marks, Tiered Fee Structures)
  • – 7 – 14 years of experience in Investor Allocation, Investor Relations
  • – Deep subject matter expertise in Investor Allocation for hedge funds and institutional asset managers.
  • – MBA from Tier 1 / Tier 2 Institute or CA.
  • – Looking for candidates from Asset Management/Fund companies.
  • – Role: IC role.
What You’ll Need:
  • – 8 – 14 years of experience in Investor Allocation
  • – Deep subject matter expertise in Investor Allocation for hedge funds and institutional asset managers.
  • – Proven knowledge of complex fund structures (master-feeder, side pockets, hybrid vehicles), multi-currency frameworks, and unitization.
  • – Strong understanding of diverse fee models management fees, performance fees, hurdle rates, high-water marks, and tiered fee structures.
  • – Strong critical thinking and the ability to articulate standpoints/ideas and influence stakeholders.
  • – Exceptional verbal and written communication skills.
  • – Outstanding academic background and a passion for working in a high-tech software development environment.
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