Chief Investment Officer

1 week ago


Bengaluru Karnataka, India BHIVE Workspace Full time

BHIVE Capital
- Bengaluru
- Referral Category: Category 1
- Bachelor’s degree in finance, Business Administration, or related field; CA/MBA or advanced degree preferred.
- **Experience Range: 15-20 years **of experience of relevant experience in investment banking, real estate funding, or related fields.

**Qualification**: Bachelor’s degree in finance, Business Administration, or related field; CA/MBA or advanced degree preferred.

**Role Summary**:
The Chief Investment Officer (CIO) will play a pivotal role in the management and strategic direction of the BHIVE Group that consists of Private Equity firm in Real Estate (PERE) and a company in flexible leasing industry. Specifically focusing on aggregating investments for funding acquisitions and Growth in real estate via multiple investment structures owing up the end-to-end investment value chain from creating structures, to executing and to ensuring compliances are in place. One of the group companies is set for a main board IPO in 2025 and you would be expected to play a key role in supporting the process. This position requires a seasoned professional with a blend of investment banking expertise and real estate funding experience, capable of navigating regulatory frameworks and driving investment strategies aligned with organizational goals.

**Key Deliverables**:

- **Strategic Investment Planning**:

- Develop and execute investment strategies aligned with the company’s objectives, considering market trends, risk profiles, and investor preferences.
- Identify and evaluate potential investment opportunities in real estate acquisitions, focusing on buildings and interiors.
- **Financial Analysis and Due Diligence**:

- Conduct thorough financial analysis and due diligence on potential investment opportunities, assessing risks, returns, and feasibility.
- Analyz market data, valuation models, and investment metrics to support decision-making processes.
- **Investor Relations**:

- Cultivate and maintain strong relationships with investors, providing transparent communication and timely updates on investment performance.
- Address investor inquiries, concerns, and feedback, ensuring a high level of satisfaction and trust.
- **Regulatory Compliance**:

- Ensure compliance with corporate governance standards, corporate laws, and regulations set forth by the Government of India and SEBI (Securities and Exchange Board of India).
- Stay abreast of changes in regulatory requirements and implement necessary adjustments to maintain compliance.
- Liaison with regulatory bodies as required
- **Portfolio Management**:

- Monitor and manage investment portfolios, optimizing asset allocation, and risk management strategies to maximize returns and minimize losses.
- Implement portfolio diversification strategies to mitigate risks and enhance overall performance.
- **Team Leadership and Development**:

- Lead and mentor a team of investment professionals, providing guidance, training, and support to enhance their skills and performance.
- Foster a collaborative and innovative work culture conducive to achieving organizational goals.
- **Performance Reporting and Analysis**:

- Prepare comprehensive investment performance reports, detailing key metrics, portfolio performance, and financial outcomes for internal and external stakeholders.
- Conduct periodic reviews and analysis of investment performance, identifying areas for improvement and strategic adjustments.
- **Deal Structuring and Negotiation**:

- Structure investment deals, negotiate terms and conditions, and collaborate with legal and financial teams to finalize agreements.
- Optimize deal structures to maximize returns while mitigating risks and ensuring alignment with investor objectives.
- **Risk Management**:

- Develop and implement robust risk management strategies to identify, assess, and mitigate potential risks associated with investment activities.
- Monitor market trends, geopolitical developments, and economic indicators to anticipate and address emerging risks proactively.

**Key Competencies and skills**:

- Bachelor’s degree in finance, Business Administration, or related field; MBA or advanced degree preferred.
- Minimum of 10 years of relevant experience in investment banking, real estate funding, or related fields.
- Proven track record of successfully managing investment portfolios and driving investment strategies in a dynamic environment.
- In-depth knowledge of financial markets, investment principles, and regulatory frameworks governing investments in India.
- Strong analytical skills, with the ability to conduct comprehensive financial analysis and due diligence on investment opportunities.
- Excellent communication and interpersonal skills, with the ability to build and maintain relationships with investors, stakeholders, and team members.
- Strategic thinker with a proactive approach to problem-solving and decision-making.
- Demonstrated leadership abilities, with a track reco



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