JOB DESCRIPTIOn – INVESTMENT MANAGER
Role Purpose
Manage and grow the Company’s investment portfolio by identifying investment opportunities, conducting financial analysis, and optimizing returns while managing financial risk.
Reports To:
Key Result Areas
Investment Strategy Development
Portfolio Management
Financial Analysis & Modelling
Investment Due Diligence
Market Research & Intelligence
Investment Reporting
Stakeholder Engagement
Key Responsibilities
Investment Strategy
Develop and implement investment strategies aligned with the Group’s objectives.
Identify and evaluate new investment opportunities.
Portfolio Management
Monitor and manage the performance of investment portfolios.
Ensure diversification and risk management.
Financial Analysis
Conduct financial modelling and valuation analysis.
Assess potential returns and associated risks.
Due Diligence
Conduct investment due diligence for potential projects and acquisitions.
Prepare investment proposals for management approval.
Market Monitoring
Monitor financial markets, economic trends, and investment opportunities.
Provide insights to support strategic investment decisions.
JOB SPECIFICATION
Qualification & Experience
Bachelor’s degree in Finance, Economics, Business Administration, or related field.
Master’s degree in Finance, Economics, Business Administration, or Investment Management (mandatory).
Professional certification is an added advantage.
Minimum of 8 years’ experience in investment management or corporate finance.
At least 5 years managing investment portfolios or financial analysis functions.
Core Competencies:
Strong investment analysis and financial modelling skills.
Strategic financial planning ability.
Market research and analytical capability.
Risk assessment and decision-making skills.
Strong presentation and reporting skills.
Skills Required
- Master's degree in Finance, Economics, Business Administration, or Investment Management
- Bachelor's degree in Finance, Economics, Business Administration, or related field
- Minimum of 8 years' experience in investment management or corporate finance
- At least 5 years managing investment portfolios or financial analysis functions
- Strong investment analysis and financial modelling skills
- Strategic financial planning ability
- Market research and analytical capability
- Risk assessment and decision-making skills
- Strong presentation and reporting skills
- Professional certification (added advantage)
What We Do
The Jospong Group of Companies is a diversified holding company based in Ghana, operating over 60 subsidiaries across various sectors including waste management, ICT, banking, agriculture, and manufacturing, with a focus on delivering innovative solutions that support national development.







