The manager will oversee investment portfolios, conduct due diligence, and build financial models to optimize risk-adjusted returns. They will also coordinate with stakeholders, monitor portfolio company performance, and provide strategic support to founders.
Company Description
VMS
Job Description
Manage investment portfolios and optimize risk-adjusted returns through research, asset allocation, execution oversight, and ongoing performance monitoring.
Job Duties and Responsibilities
Source and screen investment opportunities across target sectors and stages
Conduct due diligence: market, financial, commercial, and team assessment
Build and review financial models, valuations, and return analyses
Prepare investment memos and present recommendations to decisionmakers
Support deal structuring, term sheets, and transaction documentation
Coordinate with legal, financial, and external advisors through closing
Monitor portfolio company performance against KPIs and milestones
Maintain and improve the portfolio monitoring and reporting system
Prepare periodic portfolio and stakeholder/LP reports
Work with founders on value creation, follow-on needs, and strategic support
Produce investment and performance reporting for management and stakeholders
Maintain internal deal flow and portfolio tracking infrastructure
Qualifications
Required Qualifications
Bachelor’s degree in finance, economics, or related field
4+ years in portfolio management or investment analysis
Strong knowledge of asset classes and markets
Experience with risk management and performance attribution
Professional certification (CFA or equivalent) preferred
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