27 Investment Intern jobs in Qatar

Investment Analyst

Faisal Trade Impex Corp.

Posted 11 days ago

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Job Description

Accounts & Portfolio Analyst Qatar

Prepare MIS reports on:

  1. Mutual Funds
  2. Equities
  3. Fixed Deposits
  4. Real Estate Investment
  5. Credit Card Payments
  6. Bank Reconciliation

Requirements:

  • Experience in Accounting, Banking, Finance, or Stock Market

Salary: QR 3500 to 4000 + QR 500 HRA

Preferred Skills:

  • Wealth Management
  • Stock Markets
  • Financial & Real Estate Investments
  • Bank Reconciliation
  • Account Handling
  • Banking

Send CV & documents to or WhatsApp:

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Investment Associate

Doha, Doha Elevate Partners

Posted 11 days ago

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Job Description

We have partnered with a global infrastructure fund that is now growing its investment team in Doha.

Key Responsibilities:
  1. Conduct financial analysis and modeling for transportation-related investments.
  2. Perform market research and due diligence on potential investment opportunities.
  3. Assist in the execution of investment transactions and portfolio management.
  4. Prepare reports and presentations for internal and external stakeholders.
  5. Support senior team members in client interactions and relationship management.
Qualifications:
  • Bachelor's degree in Finance, Economics, or a related field.
  • 3-5 years of experience in investment banking (bulge bracket/international boutiques) or private equity (1bn AUM+).
  • Strong analytical and communication skills.
  • European language skills beneficial.

To discuss this opportunity in confidence, please apply directly via the link provided.

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Investment Analyst

Doha, Doha Faisal Trade Impex Corp.

Posted 3 days ago

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Job Description

Accounts & Portfolio Analyst Qatar

Prepare MIS reports on:

Mutual Funds

Equities

Fixed Deposits

Real Estate Investment

Credit Card Payments

Bank Reconciliation

Requirements:

Experience in Accounting, Banking, Finance, or Stock Market

Salary:

QR 3500 to 4000 + QR 500 HRA

Preferred Skills:

Wealth Management

Stock Markets

Financial & Real Estate Investments

Bank Reconciliation

Account Handling

Banking

Send CV & documents to



or WhatsApp:

#J-18808-Ljbffr
This advertiser has chosen not to accept applicants from your region.

Investment Associate

Doha, Doha Elevate Partners

Posted 27 days ago

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Job Description

We have partnered with a global infrastructure fund that is now growing its investment team in Doha. Key Responsibilities:

Conduct financial analysis and modeling for transportation-related investments. Perform market research and due diligence on potential investment opportunities. Assist in the execution of investment transactions and portfolio management. Prepare reports and presentations for internal and external stakeholders. Support senior team members in client interactions and relationship management. Qualifications:

Bachelor's degree in Finance, Economics, or a related field. 3-5 years of experience in investment banking (bulge bracket/international boutiques) or private equity (1bn AUM+). Strong analytical and communication skills. European language skills beneficial. To discuss this opportunity in confidence, please apply directly via the link provided.

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Coordinator Investment

Doha, Doha Swan Global WLL

Posted today

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Job Description

Urgent Hiring | Coordinator - Investments (TRR)|

**Job Description**:
Job Title: Coordinator - Investments (TRR)

Project Duration **:6 Months**

Working Hours**:* **8 Hrs / 6 Days*

Salary **:QR 7000/-**

Language Skills: - **English (mandatory) Arabic (preferred)**

**Job Objective**

The Coordinator Investment is a supporting member of a small, versatile investment

team. The incumbent will support with administration and coordination tasks

associated with the core work the investment team does to source, vet and execute

investment opportunities across various asset classes.

Key Roles & Responsibilities

1. Processing the onboarding of Investments with Investment banks

2. Organizing the transfer of investments from company Capital to company Investments

3. Record retention and documentation updates for 6 investment entities

Liaise with external lawyers, service providers, and internal teams for timely and accurate reporting to regulators.

5. Assist in memo preparation, signature process, and follow-ups.

6. Manage Capital call transfer process and follow-ups.

7. Assist with routine internal reports (risk management, LP reports, weeklymarket updates, daily reports)

8. Handling PR requests

9. Timely data collection and reporting for alternative investment portfolio.

10. Coordination of meeting and conference schedules

11. Arabic translation of financial statements and press releases (Optional)

12. Complete ad hoc projects related to overall investment management.

Minimum Qualification/Experiences/Skills

Education & Professional Qualification:

- Diploma

Professional Experience:

- 2-3 Years working administrative job (preferably Finance &/or Investments)

Geographic Experience:

- GCC preferred

Computer Skills:

- Technologically competent (Word, Excel, PowerPoint, Internet, Outlook

Market/Industry/Functional Knowledge:

- Achievement Orientation - Undertakes and is results oriented. Takes charge, shows self-motivation and ambition for personal and professional achievements. Has a competitive drive to get things done.

**Job Type**: Contract
Contract length: 6 months

Pay: QAR7,000.00 per month

Application Question(s):

- Visa Type ( Company Visa/Family Visa/ Own Visa)
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Director Investment Management

Doha, Doha People Dynamics

Posted 11 days ago

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Job Description

Director Investment Management

People Dynamics

Doha, Qatar

Posted In 20/7/2013

Job Description

The role holder is responsible for managing the Group’s (operations & joint ventures) to drive Opco’s performance improvements, in order to maximize their return, analyze, consolidate their deliveries and provide meaningful reports to the senior management for informed decision making.

ROLE ACCOUNTABILITIES

  1. Monitor performance of investments and recommend strategies to remedy poor performance and implement best practices to provide clear window on the business performance.
  2. Ensure that current investments and results are in line with the strategic top down targets.
  3. Set up and lead the implementation of a financial performance monitoring process in order to provide accurate and up to the minute information to the Board in relation to the performance of its investments.
  4. Manage the monthly closing, quarterly and Year-To-Date financial reports ensuring all inputs are accurate and broad and provide commentary and recommendations.
  5. Lead the implementation of financial policies and procedures within the OpCo’s in own area ensuring they are adhered to and are working effectively.
  6. Highlight any performance issues within the OpCo’s in order for corrective action to be taken, making appropriate recommendations as may be appropriate.
  7. Recommend and agree suitable KPIs on which to report to management and boards to drive forward the achievement of targets.
  8. Ensure that the Executive team and boards are kept fully informed on the Group’s performance against competitions.
  9. Lead the implementation of monthly variance analysis, benchmarking, financial modelling across the OpCo’s in own area and ensure they have the necessary knowledge and ability to meet their requirements.
  10. Work closely with Country finance counterparts to monitor performance and to ensure open discussion, review, verification, challenging and completion of Annual Budget and 5 -10 Year Business Plans.
  11. Compile reports, detect dysfunction and propose solutions.

Job Requirements

Experience
Min: 12 Years

Career Level
Executive/ Director

Job Type
Full Time

Vacancies
2 Open Positions

Salary
Negotiable

Gender
Any

Degree Level
Bachelor's degree

Faculty / Institute
Any

Major
Accounting

Age
Any

Nationality
Any

Residence Location
Any

Languages
Any

Own a Car
Any

Have Driving License
Any

Job Skills
• Bachelor's Degree in accounting, business management or related discipline.
• Accounting & finance Qualification – CA, CMA, CPA, or similar, MBA in finance or Master in related discipline.
• Must have minimum of 12 years experience, 04 years within a telecom environment, or Strategic Investment unit, coupled with some exposure/understanding of medium terms business & strategic plan, consolidation, evaluation and investment opportunities.
• Worked at senior level with an organisation to formulate strategy.
• Proven ability to manage the delivery and development of financial performance reporting across a Group or large organisation.
• Knowledge of general accounting, General Ledger and financial statements in international standards.
• Strong experience in a Financial Reporting Environment and Financial Reporting Systems.
• Good working knowledge of Information Systems (Hyperion, Cognos, Oracle, OFA).
• Working experience with MS Office.

About The Company
People Dynamics is an Integrated Human Resources Solutions Provider committed to delivering the best HR solutions and practices to our clients. We ensure long-term sustainability of our solutions by being closely engaged with our clients during and post implementation. We have partnered with prominent HR practitioners, who provide us with superior international resources and capabilities and our shared code of conduct and commitment to excellence ensures consistent standards of performance and ethics.

Company Industry
Human Resources

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Director Investment Management

Doha, Doha People Dynamics

Posted 11 days ago

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Job Description

Director Investment Management People Dynamics Doha, Qatar Posted In

20/7/2013 Job Description The role holder is responsible for managing the Group’s (operations & joint ventures) to drive Opco’s performance improvements, in order to maximize their return, analyze, consolidate their deliveries and provide meaningful reports to the senior management for informed decision making. ROLE ACCOUNTABILITIES Monitor performance of investments and recommend strategies to remedy poor performance and implement best practices to provide clear window on the business performance. Ensure that current investments and results are in line with the strategic top down targets. Set up and lead the implementation of a financial performance monitoring process in order to provide accurate and up to the minute information to the Board in relation to the performance of its investments. Manage the monthly closing, quarterly and Year-To-Date financial reports ensuring all inputs are accurate and broad and provide commentary and recommendations. Lead the implementation of financial policies and procedures within the OpCo’s in own area ensuring they are adhered to and are working effectively. Highlight any performance issues within the OpCo’s in order for corrective action to be taken, making appropriate recommendations as may be appropriate. Recommend and agree suitable KPIs on which to report to management and boards to drive forward the achievement of targets. Ensure that the Executive team and boards are kept fully informed on the Group’s performance against competitions. Lead the implementation of monthly variance analysis, benchmarking, financial modelling across the OpCo’s in own area and ensure they have the necessary knowledge and ability to meet their requirements. Work closely with Country finance counterparts to monitor performance and to ensure open discussion, review, verification, challenging and completion of Annual Budget and 5 -10 Year Business Plans. Compile reports, detect dysfunction and propose solutions. Job Requirements Experience Min: 12 Years Career Level Executive/ Director Job Type Full Time Vacancies 2 Open Positions Salary Negotiable Gender Any Degree Level Bachelor's degree Faculty / Institute Any Major Accounting Age Any Nationality Any Residence Location Any Languages Any Own a Car Any Have Driving License Any Job Skills • Bachelor's Degree in accounting, business management or related discipline. • Accounting & finance Qualification – CA, CMA, CPA, or similar, MBA in finance or Master in related discipline. • Must have minimum of 12 years experience, 04 years within a telecom environment, or Strategic Investment unit, coupled with some exposure/understanding of medium terms business & strategic plan, consolidation, evaluation and investment opportunities. • Worked at senior level with an organisation to formulate strategy. • Proven ability to manage the delivery and development of financial performance reporting across a Group or large organisation. • Knowledge of general accounting, General Ledger and financial statements in international standards. • Strong experience in a Financial Reporting Environment and Financial Reporting Systems. • Good working knowledge of Information Systems (Hyperion, Cognos, Oracle, OFA). • Working experience with MS Office. About The Company People Dynamics is an Integrated Human Resources Solutions Provider committed to delivering the best HR solutions and practices to our clients. We ensure long-term sustainability of our solutions by being closely engaged with our clients during and post implementation. We have partnered with prominent HR practitioners, who provide us with superior international resources and capabilities and our shared code of conduct and commitment to excellence ensures consistent standards of performance and ethics. Company Industry Human Resources

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Chief Investment Officer

KBN Group Holding

Posted 8 days ago

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Job Description

The Role
About This Role Lead our investment strategy and drive financial returns through smart capital allocation as our Chief Investment Officer. You'll oversee our diverse fund investments and international portfolio, identify compelling global opportunities, and shape our approach to generating value through international financial markets and cross-border investments. This is a senior leadership role focused purely on investment excellence, separate from our operational businesses. What You'll Do Investment Strategy & Portfolio Management Develop and execute our comprehensive investment policy for fund allocations and international investments Actively manage our existing portfolio of funds, international securities, and cross-border investments Monitor performance across global markets and optimize asset allocation across different geographies and fund types Navigate international investment regulations, tax implications, and currency considerations Deal Sourcing & Evaluation Identify and evaluate new fund opportunities, international investments, and global financial instruments Conduct thorough due diligence on international funds, offshore investments, and cross-border opportunities Assess geopolitical risks, currency exposures, and regulatory environments across different markets Build detailed investment theses for global opportunities and fund allocations Strategic Leadership Shape our overall approach to international capital deployment and global risk management Collaborate with our CFO on cross-border capital planning and currency hedging strategies Build and maintain relationships with international fund managers, global investment partners, and offshore advisors Lead our investment committee meetings with well-researched global investment recommendations

Requirements
What We're Looking For Essential Experience 5+ years in portfolio management, fund analysis, or international investments within asset management, private equity, family office, hedge funds, or institutional investment environments Experience with international markets, cross-border investments, and global fund allocation Track record of managing multi-currency portfolios and navigating international investment regulations Experience presenting to investment committees or senior stakeholders on global investment strategies Professional Qualifications CFA designation required (or progress toward completion) Strong educational background in finance, economics, or related quantitative field Core Competencies International investment expertise across global markets with strong analytical and fund evaluation skills Multi-currency portfolio management with understanding of currency hedging and international risk factors Cross-border due diligence capabilities including international regulatory compliance and tax considerations Global market analysis with ability to assess geopolitical risks and international investment opportunities Fund selection and monitoring experience across different fund types and international structures Personal Attributes Analytical mindset with disciplined approach to investment decision-making Independent thinking with confidence to make conviction-based recommendations Patient investment philosophy balanced with appropriate sense of urgency Strong communication skills for presenting complex investment concepts clearly Collaborative leadership style for working across teams and with external partners

About the company
With over decades of expertise, KBN Group Holding is a leading name in Qatars private sector. KBN Group Holding offers an array of opportunities for our customers to prosper and grow. Using technological advancements and sustainable solutions, we have continued to generate intrinsic value for businesses and increase investment opportunities by providing top-quality business solutions to our clients.
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Senior Associate, Investment Risk, Investment Strategy, Doha, Qatar

Doha, Doha PER

Posted 11 days ago

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Job Description

Reference: 13074
Senior Associate, Investment Risk, Investment Strategy, Doha, Qatar
Our client is seeking an astute Senior Associate who will play a vital role in guiding their direct private equity investments. This role requires comprehensive due diligence, exceptional financial modelling skills, and a deep understanding of financial statements, investment analyses, and valuation techniques.

About our client

We are working with a prestigious private and public investor in Qatar. They are looking for an associate to join their private market risk team.

What the job involves
  • Perform comprehensive commercial and financial due diligence, incorporating risk assessment in private equity transactions.
  • Apply advanced financial modelling to assess the investment opportunities and evaluate their viability.
  • Create reports to be included in the investment memos, presentations, and other materials pivotal to decision-making.
  • Engage with various stakeholders, establishing robust relationships while effectively communicating investment risk perspectives.
  • Stay current with market trends and the competitive landscape, facilitating due diligence and valuation across private markets.
Who we are looking for
  • Experience in private equity, asset management, or related fields such as corporate finance and investment banking.
  • Master’s degree in Engineering, Mathematics, Finance, or a related field.
  • Proven expertise in financial modelling and due diligence in private equity deals.
  • Exceptional analytical and problem-solving skills, coupled with a strategic mindset and meticulous attention to detail.
  • Outstanding interpersonal and communication abilities, capable of effectively engaging with a diverse range of stakeholders.
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Senior Associate, Investment Risk, Investment Strategy, Doha, Qatar

Doha, Doha PER

Posted 24 days ago

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Job Description

Reference: 13074 Senior Associate, Investment Risk, Investment Strategy, Doha, Qatar Our client is seeking an astute Senior Associate who will play a vital role in guiding their direct private equity investments. This role requires comprehensive due diligence, exceptional financial modelling skills, and a deep understanding of financial statements, investment analyses, and valuation techniques. About our client

We are working with a prestigious private and public investor in Qatar. They are looking for an associate to join their private market risk team. What the job involves

Perform comprehensive commercial and financial due diligence, incorporating risk assessment in private equity transactions. Apply advanced financial modelling to assess the investment opportunities and evaluate their viability. Create reports to be included in the investment memos, presentations, and other materials pivotal to decision-making. Engage with various stakeholders, establishing robust relationships while effectively communicating investment risk perspectives. Stay current with market trends and the competitive landscape, facilitating due diligence and valuation across private markets. Who we are looking for

Experience in private equity, asset management, or related fields such as corporate finance and investment banking. Master’s degree in Engineering, Mathematics, Finance, or a related field. Proven expertise in financial modelling and due diligence in private equity deals. Exceptional analytical and problem-solving skills, coupled with a strategic mindset and meticulous attention to detail. Outstanding interpersonal and communication abilities, capable of effectively engaging with a diverse range of stakeholders.

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