Junior Investment Manager

at  Multitude

Helsinki, Etelä-Suomi, Finland -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate19 Jan, 2025Not Specified21 Oct, 2024N/AGood communication skillsNoNo
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Description:

Multitude is a listed European FinTech company, offering digital lending and online banking services to consumers, small and medium-sized businesses, and other FinTechs. The services are provided through three independent business units, which are served by our internal Banking-as-a-Service Growth Platform. Multitude’s business units are consumer banking (Ferratum), business banking (CapitalBox) and wholesale banking (Multitude Bank).
Multitude Group employs over 700 people in 25 countries and offers services in 16 countries, achieving a combined turnover of 212 million euros in 2022. Multitude was founded in Finland in 2005 and is listed on the Prime Standard segment of the Frankfurt Stock Exchange under the symbol ‘FRU’.
Multitude Bank plc is seeking a Junior Investment Manager to contribute to our investment portfolio. As a forward-thinking individual you will steer our business into profitable territories, with a focus on opportunities, risk management, and superior returns.
Key responsibilities include execution of our investment strategies, identifying new opportunities, ensuring portfolio performance, assessing risks, and monitoring market trends.
You are proactive, customer-centric professional who thrives on challenges and drives innovation. If you are passionate about problem-solving and success, you’ll excel with our team.

KEY ACCOUNTABILITIES:

  • Leading Strategy Execution: Execute our robust investment policy statement that aligns with the Bank’s objectives.
  • Risk Assessment: Determine and manage acceptable risk levels, factoring in time frames, risk preferences, and market conditions.
  • Cross-functional Liaison: Work closely with internal teams to ensure thorough assessments before and after investments.
  • Performance Monitoring: Contribute to overseeing key covenants of all investments and establish protocols for handling breaches.
  • Regulatory Compliance: Ensure the investment portfolio complies with regulatory standards, including anti-money laundering requirements.
  • Trend Analysis: Stay abreast of relevant investment news, trading updates, and economic trends.
  • Market Insight: Keep the Bank’s management and committees informed on market conditions, investment research, and portfolio performance.
  • Stakeholder Engagement: Manage communications with investee counterparts, including proposals, negotiations, and post-investment follow-ups.

Responsibilities:

Please refer the Job description for details


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Banking/Mortgage

Banking / Insurance

Other

Graduate

Business economics or finance

Proficient

1

Helsinki, Finland