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Portfolio Manager at GTI Consult

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Employment type not specifiedExperience not specifiedNigeria
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  • Posted: Jun 29, 2026

    Deadline: Not specified

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    GTI is a leading Nigerian Investment Banking group with proven expertise in Financial advisory, Securities Dealing (Fixed Income and Equities), Asset management and Deal Origination. We have strong capacity in financial services delivery. Over the years, we have effectively rendered advisory services to various quoted companies in Nigeria and public corp...

    Portfolio Manager

    Key Responsibilities

    • Construct, manage, and rebalance diversified client portfolios in line with agreed mandates and investment policy statements.
    • Develop and implement asset allocation strategies across equities, fixed income, forex, and alternative assets.
    • Monitor portfolio performance against benchmarks and deliver consistent risk - adjusted returns.
    • Conduct ongoing macro and market analysis to inform portfolio positioning and tactical allocation decisions.
    • Stay current with global and local market developments, regulatory changes, and economic data relevant to portfolio positioning.
    • Serve as a trusted investment advisor to institutional and high - net - worth clients.
    • Prepare and deliver compelling investment performance reports and portfolio reviews.
    • Communicate investment strategy, rationale, and outlook clearly to both sophisticated and non-specialist audiences.
    • Identify, assess, and manage portfolio risks including market, liquidity, and concentration risk.
    • Ensure portfolios remain compliant with regulatory requirements and internal investment guidelines at all times.
    • Escalate and document material risk events in accordance with firm policy.
    • Collaborate with operations, compliance, and client services to ensure seamless delivery.
    • Contribute to the firm’s intellectual capital through market commentary, research notes, and investment perspectives.

    Qualifications

    • Minimum of Second Class Upper Bachelor’s Degree in Finance, Economics, Accounting, or a related discipline
    • 7 – 12 years of progressive experience in investment management, asset management, or a related financial services role.
    • CFA Chartered or actively pursuing CFA designation.
    • Postgraduate qualification (MBA, MSc Finance) is an added advantage.
    • Demonstrable track record of managing portfolios and delivering measurable investment performance.
    • Strong knowledge of the Nigerian capital markets and regulatory environment (SEC, NGX).
    • Exposure to global markets and cross - asset investment strategies is a strong advantage.

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    Method of Application

    Interested and qualified candidates should send their CV and Cover letter to: [email protected] using the Job Title as the subject of the mail.

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Market insight

1 500 000 ₦

Based on 56 offers with salary for this country

Full salary breakdown

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