Why Natland
We are an investment group operating primarily in the Czech and Slovak markets. We invest capital primarily in medium-sized companies, strategically focusing on the energy and real estate sectors – residential and multifunctional. We manage the assets of our own, our shareholders and qualified investors through specialized investment funds. Our competitive advantage is our expertise in crisis management of companies in complex situations.
Job description
Responsibility and executive management in the asset management of the funds in the Group’s portfolio, its operations and the further development of the fund portfolio / Group’s assets to maximise capital appreciation.
What will be your primary agenda
- Active management of portfolio funds, risk management, setup, processing and regular reporting of funds, proposals for new solutions and procedures.
- Implementation of the fund portfolio strategy or participation in its expansion
- Actively looking after fund assets, improving performance for investors
- Responsibility for effective funding, active involvement/executive participation in the area executive
- Financial analysis of potential business opportunities, financial modelling, opportunity evaluation, risk management, investment recommendations
- Managing the investments made in the portfolio, or managing the management of acquisitions in the fund’s portfolio
- Regular reporting on the status of the agenda
- Cooperation on internal, development projects of the group.
- Care for clients in the portfolio, communication with investors, preparation of offers, presentation materials for investors
- Ad hoc activities, analyses, reports…
What we expect from you
- University degree in finance, accounting, business economics
- Ideally 3+ years of experience in asset/fund management or investment company
- Experience with AIFMD/ZISIF, administrator and depositary
- You are familiar with finance, accounting, understand the context of financing and fund structures
- Knowledge of valuations/NAV, bank covenants; experience with audit and external valuations.
- Expert knowledge of Excel, ERP systems and MSOffice
- Consistency, ability to simplify processes, “ownership”, clear communication
- You accept responsibility for your decisions
- You know how to negotiate, negotiate terms
- You are conscientious, healthy, positive and caring
- You understand English – both written and spoken – at an intermediate level
What we can offer you
- Long-term cooperation with the possibility to develop practical experience
- Financial remuneration commensurate with the responsibility, role and content of the work
- Unique opportunity to work for a strong, stable and growing investment group
- Opportunity to gain practical experience and know-how within the team
- Pleasant environment of modern offices in Karlín, close to the metro and friendly team of colleagues
- A large degree of autonomy
- Opportunity for personal and career growth
- Meal allowance, Sick Days, refreshments at the workplace, laptop, telephone
- Flexible working hours