# Portfolio Manager — Kariyer Hedefim

Canonical: https://jobxdubai.com/jobs/li-4464222523-portfolio-manager
Location: Dubai, UAE (remote)
Type: part_time · Level: senior
Monthly salary: AED 18,000 to 32,000 per month (estimated, not employer-stated) (UAE salaries are tax-free)
Posted: 2026-09-11
Apply: https://www.linkedin.com/jobs/view/portfolio-manager-at-kariyer-hedefim-4464222523?_l=en

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## Description

🌟 We’re Hiring: Portfolio Manager

📍 Location: United Arab Emirates (Remote)

🕒 Employment Type: Part-Time

💼 Experience Level: Mid-Level to Senior

🌐 Work Arrangement: Fully Remote
About Us
We are a forward-thinking organization focused on disciplined investment management, portfolio strategy, and long-term value creation. Our approach combines market research, financial analysis, risk awareness, and data-driven decision-making to help clients and stakeholders navigate evolving market conditions. We value integrity, analytical excellence, accountability, and prudent risk management.
The Role
We are seeking an experienced Portfolio Manager to oversee portfolio strategy, investment analysis, performance monitoring, and risk management. This part-time, fully remote role is suited to a commercially minded investment professional who can evaluate opportunities, make well-reasoned decisions, and communicate portfolio insights clearly. You will contribute to investment planning while maintaining a disciplined focus on objectives, diversification, and risk-adjusted performance.
Key Responsibilities

• Develop and implement portfolio strategies aligned with defined investment objectives.

• Conduct market, sector, asset, and investment opportunity analysis.

• Monitor portfolio performance, allocation, exposure, and risk indicators.

• Evaluate investment opportunities using quantitative and qualitative analysis.

• Review portfolio diversification and recommend appropriate allocation adjustments.

• Track economic, financial, and market developments affecting portfolio performance.

• Prepare investment reports, performance updates, and management presentations.

• Collaborate with research, finance, risk, and senior stakeholders on portfolio decisions.

• Establish and monitor portfolio performance benchmarks and key metrics.

• Identify emerging risks and opportunities and recommend appropriate actions.

Requirements

• Bachelor’s degree or equivalent qualification in Finance, Economics, Business, or a related field is preferred.

• 3+ years of relevant portfolio management, investment analysis, asset management, or financial services experience preferred.

• Strong understanding of portfolio construction, asset allocation, diversification, and investment principles.

• Knowledge of financial markets, investment products, and risk management concepts.

• Proficiency in financial analysis, performance evaluation, and investment reporting.

• Strong quantitative, analytical, and critical-thinking skills.

• Ability to assess opportunities and risks using reliable financial information.

• Excellent communication and stakeholder management abilities.

• Strong attention to detail, integrity, and professional judgment.

• Ability to work independently and manage priorities effectively in a remote environment.

What We Offer

• Flexible part-time working arrangements in a fully remote environment.

• Competitive compensation aligned with experience and responsibilities.

• Opportunity to contribute to meaningful portfolio and investment strategies.

• Exposure to diverse markets, asset classes, and financial opportunities.

• Professional growth through strategic investment and analytical initiatives.

• Collaborative international environment focused on disciplined decision-making and continuous improvement.

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## Requirements

Bachelor’s degree or equivalent qualification in Finance, Economics, Business, or a related field is preferred. 3+ years of relevant portfolio management, investment analysis, asset management, or financial services experience preferred. Strong quantitative, analytical, and critical-thinking skills. Knowledge of financial markets, investment products, and risk management concepts. Proficiency in financial analysis, performance evaluation, and investment reporting. Excellent communication and stakeholder management abilities. Ability to work independently and manage priorities effectively in a remote environment.

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