
Search by job, company or skills
Company : Champion Info Metrics Pvt Ltd ( 25 Years Of Existance)
Website : https://www.championinfometrics.com/
Location : HSR Layout ( Bangalore)
About the Company
Champions Group is a diversified business conglomerate with interests in real estate, technology, marketing, and investment services. With over two decades of excellence, we are recognized for delivering high-value solutions and building long-term relationships with our global clientele. At Champions Group, we foster an environment of innovation, collaboration, and professional growth.
Website : https://www.championsgroup.com/
Website : https://www.championinfratech.com/
Fund Manager (Real Estate & Alternative Investments)Role OverviewWe are seeking an experienced Fund Managerto lead fundraising, capital deployment, and portfolio management across multiple real estate investment platforms focused on next-generation residential communities and experiential developments, including artificial beach lagoon-anchored projects.
The role requires a professional with strong expertise in alternative investment funds (AIFs), portfolio diversification, and institutional capital allocation, capable of structuring, deploying, and managing investor capital in alignment with global investment standards and risk-optimized strategies.
Key Responsibilities1. Fundraising & Capital StrategyLead fundraising initiatives across domestic and international investor pools including HNIs, family offices, institutional investors, and strategic partners
Structure investment vehicles such as AIFs, SPVs, joint ventures, and structured debt instruments
Develop investment memorandums, financial models, and capital deployment frameworks
Build and maintain investor relationships and manage reporting frameworks
2. Portfolio Construction & Asset AllocationDesign diversified investment portfolios across:
oReal estate development & income assets
oPrivate credit & structured instruments
oCommodities & inflation hedging instruments
oSelect global diversified exposures
Implement asset allocation strategies aligned with global portfolio management principles
Ensure risk-adjusted returns through diversification and capital preservation strategies
3. Capital Deployment & Fund ManagementEvaluate investment opportunities and perform due diligence
Lead capital deployment across projects, ensuring optimal return profiles
Monitor portfolio performance, cash flows, and exit strategies
Establish investment committee processes and governance frameworks
4. Risk Management & ComplianceImplement portfolio risk frameworks including concentration risk, liquidity risk, and market risk
Ensure regulatory compliance across AIF, PMS, and investment advisory frameworks
Oversee valuation standards, reporting integrity, and investor transparency
5. Strategic Advisory to ManagementAdvise leadership on capital structuring and leverage optimization
Recommend portfolio rebalancing strategies aligned with market cycles
Support hedging strategies using commodities and alternative assets
Required QualificationsMinimum 78 years of experiencein fund management, portfolio management, or alternative investments
Strong exposure to AIFs, private markets, and real estate investments
Proven experience in fundraising and institutional investor engagement
Demonstrated expertise in portfolio diversification and risk-adjusted capital allocation
Preferred Certifications / LicensesCandidates with one or more of the following are strongly preferred:
CFA (Chartered Financial Analyst)
CAIA (Chartered Alternative Investment Analyst)
FRM (Financial Risk Manager)
CIIA / CISI certifications
SEBI PMS / Investment Advisor / AIF regulatory exposure
Relevant global asset management licenses
Key SkillsInstitutional capital structuring
Portfolio optimization & asset allocation
Alternative investments & private markets
Fund structuring & regulatory compliance
Financial modelling & valuation
Risk management & hedging strategies
Investor relations & fundraising
Strategic thinking with execution capability
Job ID: 143392125