Associate - Venture Capital

Reposted 7 Days Ago
Be an Early Applicant
Mumbai, Maharashtra, IND
In-Office
3M-3M Annually
Mid level
Greentech • Energy • Solar • Renewable Energy
The Role
Lead portfolio execution for 8–12 companies: run KPI tracking, quarterly reviews, and intervention plans; manage 1–2 analysts; support AOP reviews, follow-on fundraising, due diligence, and post-deal integration; act as a trusted challenger to founders and escalate operational issues to Principals. Focus on value creation, turnaround support, and board-ready reporting.
Summary Generated by Built In
About Artha Group

Artha Group is a performance-first investment house managing ₹2,300 crores across domestic and international investment vehicles, including Category I & II AIFs, LLPs, and Private Limited companies. With active investments in 130+ startups, we operate at the convergence of capital precision and operational depth.

With 130+ companies backed and 30+ exits, we operate with conviction, founder alignment, and execution speed. Our investors include top Indian family offices and global UHNIs.

Role Overview
We’re hiring one mid-level Associate to lead portfolio execution across ASF. This is not a sourcing-first role. We want someone who’s already managed companies, handled founder complexity, and can turn data into insight—and insight into action.

You will:
  • Own 8–12 active portfolio companies, reporting directly to a Principal
  • Run KPI tracking, quarterly reviews, and intervention planning
  • Lead analysts focused on data quality, financial performance, and board-ready reporting
  • Support AOP reviews, follow-on round preparation, and founder-side support
  • Help turnaround underperforming companies or flag red flags early

This is a Partner-track role for a portfolio operator, not a pipeline hunter.

What You’ll Lead
Portfolio Oversight & Value Creation
  • Lead structured monthly and quarterly reviews across 8–12 active companies
  • Track KPIs across revenue, org design, GTM execution, hiring, and cash flow
  • Collaborate with founders to build or challenge AOPs and hiring plans
  • Flag underperformance early, and recommend interventions to the Principal
  • Support downstream rounds—materials, narrative, and investor calibration

Founder Alignment & Support
  • Maintain high-touch relationships with founding teams
  • Push for accountability without overstepping—own the “trusted challenger” seat
  • Act as the first escalation point for operational fire drills
  • Navigate difficult founder dynamics with maturity and clarity

Analyst Team Management
  • Lead 1–2 analysts in tracking and interpreting portfolio data
  • Ensure output is accurate, timely, and IC-ready
  • Drive reporting discipline, deadline adherence, and performance visibility

Investment Support & Execution
  • Support Principals on live deals: due diligence, benchmarking, IC memos
  • Review models, validate AOP assumptions, and identify operational risks pre-investment
  • Manage post-deal integration into the portfolio review system

Who You Are
  • A buy-side trained portfolio manager, not just a transaction executor
  • Strong at handling complexity, ambiguity, and cross-functional founders
  • Can turn disorganized startup data into structured insights
  • Comfortable leading junior team members, reporting up to Principals, and working cross-border
  • Deep understanding of founder psychology, cap tables, burn, and operating leverage

Required Experience
  • 3–5 years in venture capital, private equity, or cross-stage fund investing
  • Must have managed a portfolio of 5+ companies, including KPI and founder oversight
  • Must have supported AOP planning, follow-on fundraising, or company turnarounds
  • Must have closed at least 2 investments end-to-end on the buy-side
  • MBA or CA required OR strong proof of financial modeling, AOP structuring, and decision-prep ownership
  • Experience managing analysts or junior team members in fund settings is a plus

Candidates with only investment banking, transaction advisory, or consulting backgrounds will not be considered.

Compensation Structure
  • Total Annual Package: ₹26,50,000
  • ₹20,00,000 fixed annual salary
  • ₹3,25,000 confirmed annual retention bonus (paid every 12 months)
  • ₹3,25,000 ESOP grant annually (each annual grant comes with its own vesting schedule)
  • Performance bonus (based on portfolio success and personal execution)
  • Carry participation (disclosed during the final interview stage)

Fixed compensation is non-negotiable. All upside is earned through performance.

Skills Required

  • 3-5 years in venture capital, private equity, or cross-stage fund investing
  • Managed a portfolio of 5+ companies with KPI and founder oversight
  • Supported AOP planning, follow-on fundraising, or company turnarounds
  • Closed at least 2 investments end-to-end on the buy-side
  • MBA or CA OR strong proof of financial modeling, AOP structuring, and decision-prep ownership
  • Experience managing analysts or junior team members in fund settings
  • Buy-side portfolio management background; candidates with only investment banking, transaction advisory, or consulting backgrounds will not be considered
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The Company
Year Founded: 2013

What We Do

Artha Energy Resources (AER) is a leading Indian renewable energy solutions provider, specializing in solar projects for commercial and industrial clients. They offer consulting services, investment banking, and end-to-end project development for renewable energy.

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