Portfolio Manager

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Company NamePower International Holding
Company TypePrivate
Job TypeFull-Time
Salary RangeMarket Competitive
LocationDoha, Qatar
QualificationsBachelor’s Degree
Experience5 Year+

Job Overview

Power International Holding in Doha, Qatar, is seeking an experienced Portfolio Manager to oversee and manage a diverse range of investment portfolios. This role is crucial for optimizing financial performance and contributing to the strategic growth of the conglomerate.

Company Overview

Power International Holding (PIH) is a diversified business conglomerate with global reach, structured into six core groups: Energy, Concessions & Construction; Industries & Services; Telecommunication & Technology; Agriculture & Food Industries; Real Estate; and Lifestyle: Hospitality, Entertainment & Catering. Our commitment to sustainable growth is reinforced by a structured approach to resource allocation and centralized functional support, enabling agility and continuous development across sectors. Each group operates with focused specialization while contributing to PIH’s overarching strategy of delivering long-term value. Through a culture of excellence and collaboration, PIH harnesses the collective strength of its leadership teams, ensuring that each business flourishes while advancing economies and communities. This synergistic model allows PIH to maintain its distinctiveness as a group while driving sustained impact on both a local and global scale.

Quick Details

  • Salary Range: Market Competitive
  • Job Type: Full-time
  • Qualifications: Bachelor’s Degree
  • Experience: 5 Year+

Key Responsibilities

  • Manage and optimize investment portfolios across various asset classes.
  • Conduct thorough market research and financial analysis to inform investment decisions.
  • Develop and implement portfolio strategies to achieve client objectives and risk parameters.
  • Monitor portfolio performance, rebalance assets, and provide regular performance reports.
  • Collaborate with internal teams to identify new investment opportunities and enhance existing strategies.
  • Ensure compliance with regulatory requirements and internal policies.

Requirements

  • Bachelor’s degree in Finance, Economics, Business Administration, or a related field.
  • Minimum of 5 years of experience in portfolio management or a similar financial role.
  • Strong analytical skills and proficiency in financial modeling and investment software.
  • Proven ability to manage risk and generate strong investment returns.
  • Excellent communication, interpersonal, and presentation skills.
  • Deep understanding of capital markets, investment products, and regulatory frameworks.

Benefits

  • Competitive salary and performance-based incentives.
  • Opportunities for professional growth and career advancement within a global conglomerate.
  • Comprehensive health and wellness benefits.
  • Dynamic and challenging work environment.
  • Exposure to diverse industries and investment opportunities.
  • Supportive and collaborative team culture.

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