We are seeking a driven and talented individual to join our public markets investment team in Santa Monica, reporting to the Partner leading Public Markets. In this seat you'll serve as the coverage person for global commodity managers and independently source, diligence, and monitor the universe, alongside portfolio monitoring, investment research, and investor servicing. This role blends analytical rigor with operational excellence, offering exposure to the full life cycle of hedge fund investing—from due diligence through performance attribution and investor reporting.
A competitive candidate will pair deep analytical judgment with the ability to own a manager relationship end to end, with limited oversight. You should have a well-formed view of commodity markets, be intellectually curious and proactive, and be able to manage competing priorities in a fast-paced, collaborative environment. This is an excellent opportunity for an experienced investor who wants real autonomy within an entrepreneurial, globally minded firm.
Responsibilities:
- Manager Sourcing & Due Diligence: Independently source, evaluate, and monitor global commodity managers — including existing global manager coverage — owning the full diligence process from first meeting through investment committee recommendation.
- Materials Creation and maintenance: Draft, refine, and present investment memos, slides, and internal presentations for committee review and client updates. Maintain accurate records of manager communications, diligence materials, and portfolio data in CRM and reporting systems.
- Industry Research: Assist in the industry research process, including in-depth cross-commodity product and cross-geographic region research, chart creation, report layout, distribution, and presentation of reports.
- Post-investment Monitoring: Day-to-day monitoring existing investment and forward-looking pipelines.
- Cross-Functional Collaboration: Work closely with other senior investment professionals, operations, and other teams to support firmwide goals.
Requirements:
- Bachelor’s degree in Finance, Economics, Business Administration, or a related field.
- 3-6+ years of relevant experience in hedge fund investing, manager selection, commodity research, or asset management.
- Prior manager selection experience is required, including direct ownership of due diligence on external managers.
- Proven ability to manage multiple workstreams independently.
- Strong analytical skills and comfort working with large datasets, financial models, and performance metrics.
- Proficient with Excel, PowerPoint, and Word; familiarity with CRMs or portfolio management systems a plus.
- A collaborative, resourceful self-starter with strong communication skills and a high level of integrity.
- Excellent organizational habits and meticulous attention to detail.
What you’ll get:
- All the resources you’ll need to learn and grow.
- Independence to run with your ideas.
- Joining an elite team that works with some of the most sophisticated investors and entrepreneurs in the world.
- World-class benefit programs, including options for health, dental, vision, disability, life insurance, 401K plan (with matching), generous vacation, and sick leave.
- Delicious, daily lunches and snacks.
- Beautiful office space with amazing ocean views.
Salary Range: $130,000 – $150,000. Compensation may vary based on experience, training, and education. This position is eligible for an annual discretionary bonus.
Clocktower Group is an equal opportunity employer and makes employment decisions without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, protected veteran status, disability status, or any other status protected by law.
While the roles at Clocktower are primarily desk-based and do not typically require significant physical demands, employees in these positions should be able to:
- Sit for extended periods.
- Use a computer and other office equipment effectively.
- Occasionally lift and move lightweight office supplies or materials.
Skills Required
- Bachelor's degree in Finance, Economics, Business Administration, or a related field
- 3-6+ years of relevant experience in hedge fund investing, manager selection, commodity research, or asset management
- Prior manager selection experience, including direct ownership of due diligence on external managers
- Ability to manage multiple workstreams independently
- Strong analytical skills and comfort working with large datasets, financial models, and performance metrics
- Proficiency with Excel, PowerPoint, and Word
- Strong communication skills and a collaborative, resourceful, self-starting approach
- High level of integrity
- Excellent organizational habits and meticulous attention to detail
- Familiarity with CRMs or portfolio management systems
What We Do
Clocktower Group, L.P. is an alternative asset management platform based in Santa Monica, California, that delivers customized products to help institutional clients achieve their specific investment goals. Clocktower’s business lines span hedge fund seeding, manager selection and financial technology venture capital. Across these investment solutions, Clocktower seeks to foster alignment between its clients and invested businesses, building long-term strategic relationships and facilitating information flow. Clocktower’s distinctive approach is built on a carefully cultivated ecosystem of global investors, policymakers, technology founders, CEOs and academics who engage collaboratively to share ideas, insights and investment opportunities.
.png)








