Role Summary
- Coronation Insurance – an affiliated company to Coronation Group Ltd – is a leading insurance provider of a diverse range of products and services covering life, general and special risk businesses to individuals and corporate entities.
- The role of Head of Investment at Coronation Insurance will be to lead the delivery of strategic treasury capabilities that allow the organization achieve optimal business outcomes.
Principal Duties & Responsibilities
- Monitor business climate, trends in technology and development, and government activity in areas of the company’s current and anticipated investment or expansion
- Perform, review, facilitate or negotiate deal sourcing, project assessment, financial modelling and evaluations, due diligence, investment structuring, legal framework and any other related activities throughout the end to end investment process.
- Make investment recommendations based on detailed company analysis covering corporate profile, products & services, cost drivers, financial ratios (including comparisons over time and comparisons with competitors
- Research industries and companies and create detailed financial models to highlight relevant metrics to be used in the investment decision making process
- Provide accounting reports for alternative investments such as private equity, private credit, infrastructure and private real estate, hedge funds etc.
- Provide intelligent forecast of the future impacts of major developments within the industry
- Review valuation for business and financial assets and develop risk management processes
- Provide responses to investor information requests and compiling necessary due diligence materials
- Perform calculations and modelling of the cost of capital and demonstrates a working knowledge of the regulatory framework in providing advice on the deal structure.
- Manage the organization investment portfolio so that investment selections are aligned with organization or organization’s goals and requirements
- Communicate and present outcomes from performance reports to management.
- Analyze performance of portfolios; develop and present portfolio reports
- Monitor industry trends and contribute to team strategy discussions on investment opportunities.
Key Requirements
Education and Work Experience
- Bachelor’s degree in finance or related field
- Experience in the financial services sector is an added advantage
- Minimum of 3-4 years’ experience in a similar position.
- Knowledge of investment trends and advisor practices
Skills and Competencies
- Very good knowledge of the Financial Services industry in terms of trends, challenges, opportunities, regulations, legislation etc.
- Ability to gather and analyze information regarding assets, liabilities, cash flow, income, and/or obligations necessary to prepare a budget and investment plan.
- Ability to synthesize and simplify complex data
- Analytical skills and financial modelling ability.
- Outstanding verbal and written communication skills
- Knowledge of finance and capital markets
- Proven MS Office skills, including Word, Excel, and Outlook.
- Must be able to work in a team-oriented environment
JOB IS EXPIRED.