Company Overview: Our client is a leading listed company in Malaysia with a diverse portfolio of assets, including infrastructure assets. The company is known for its innovative approach and strategic investments in high-growth sectors. As the company continues to expand its asset management team, it is seeking a highly experienced Vice President (VP) of Investment to lead its infrastructure asset and strategy division.
Role Overview: The VP of Investment will be responsible for overseeing the strategic direction, investment decisions, and asset management for the company's infrastructure portfolio. This role will lead a team in developing and implementing investment strategies that align with the company's long-term objectives, maximizing returns and ensuring sustainable growth.
Key Responsibilities:
... - Strategic Planning: Develop and execute long-term strategies for the infrastructure asset portfolio, ensuring alignment with overall company goals and market trends.
- Investment Analysis: Conduct in-depth analysis and due diligence on potential investments in infrastructure assets, including financial modeling, risk assessment, and market research.
- Portfolio Management: Oversee the management and performance of the existing infrastructure asset portfolio, including monitoring returns and identifying opportunities for optimization.
- Team Leadership: Lead and mentor a team of investment professionals, providing guidance on investment decisions, asset management, and career development.
- Stakeholder Engagement: Collaborate with internal and external stakeholders, including executive leadership, clients, and industry partners, to align investment strategies and achieve mutual goals.
- Deal Sourcing and Execution: Identify and negotiate new investment opportunities in infrastructure assets, including acquisitions, partnerships, and joint ventures.
- Regulatory Compliance: Ensure compliance with relevant regulations, policies, and industry standards in all investment and asset management activities.
- Performance Reporting: Prepare and present regular reports to senior management and board members on portfolio performance, investment strategies, and potential risks.
- Market Insights: Stay updated with industry trends, market conditions, and emerging opportunities in the infrastructure sector, providing insights for strategic decision-making.
Qualifications:
- Bachelor’s degree in Finance, Economics, Business Administration, or a related field. Advanced degree (e.g. MBA) or professional certification (e.g. CFA) preferred.
- Minimum 10 years of experience in investment management, with a focus on infrastructure assets.
- Strong analytical, financial modeling, and due diligence skills.
- Proven track record of successful investment strategies and portfolio management.
- Excellent leadership and team management capabilities.
- Strong negotiation, communication, and interpersonal skills.
- Deep understanding of the infrastructure sector and market trends in Malaysia and the broader region.
- Ability to work collaboratively across different departments and with external partners.
If you are keen on this role, do apply via this link