Head of Fund Management Department
Renshin Urban Investments is seeking an experienced and strategically minded Head of Fund Management Department to lead the Company’s fund management, financing, and capital markets activities. The successful candidate will be responsible for developing and executing fund management and financing strategies, overseeing debt and capital market transactions, managing investment portfolios, and ensuring sound financial analysis, risk management, and regulatory compliance. This role requires strong leadership capabilities, advanced financial expertise, and the ability to manage complex transactions while collaborating with senior management, investors, financial institutions, and external advisors.
Lead and oversee the Fund Management Department’s daily activities, priorities, and performance while mentoring employees to maintain high professional standards.
Develop and execute the company’s capital markets, financing, and fund management strategies to align with broader business and investment goals.
Lead the structuring, evaluation, negotiation, and execution of debt instruments, capital market transactions, and structured financing solutions.
Identify and evaluate diverse funding sources and investment opportunities, including bank financing, bonds, institutional funding, and structured finance.
Oversee the development of financial, valuation, cash flow projection, scenario analysis, and return assessment models.
Lead the preparation of investment memoranda, financial reports, investor presentations, compliance documents, and regulatory filings.
Track portfolio performance, liquidity, financial obligations, return metrics, and key risk indicators to guide senior management decisions.
Establish key portfolio performance metrics to optimize capital allocation and meet targeted returns.
Manage primary relationships with banks, investors, rating agencies, external advisors, auditors, and legal counsel.
Coordinate end-to-end transaction processes, including due diligence, legal documentation, credit enhancement, and deal closings across internal and external teams.
Ensure strict adherence to IFRS, regulatory standards, internal risk limits, and specific investment mandates.
Identify credit, liquidity, market, and transaction-related risks, implementing effective mitigation strategies.
Implement sustainable investment, green finance, and ESG-aligned financing initiatives where applicable.
Deliver strategic analytics and actionable recommendations to senior management and decision-making committees.
Monitor macroeconomic conditions, interest rate shifts, capital market trends, and regulatory changes to capitalize on opportunities and minimize risk.
• 7+ years of relevant professional experience in fund management, investment management, corporate finance, banking, development finance, capital markets, or a related field, including demonstrated managerial or leadership experience.
- Bachelor’s or Master’s degree in Finance, Economics, Accounting, Business Administration, or related field.
- Strong knowledge of capital markets, debt instruments, fixed income securities, corporate financing, structured finance, and investment analysis.
- Demonstrated experience in structuring and executing financing or investment transactions.
- Advanced financial modeling, valuation, scenario analysis, and investment assessment skills.
- Strong knowledge of IFRS, accounting principles, financial reporting, and financial statement analysis.
- Advanced proficiency in Excel and financial analysis tools; experience with Bloomberg or similar financial platforms is highly desirable.
- Strong understanding of financial, credit, liquidity, and market risk management.
- Experience working with banks, institutional investors, rating agencies, auditors, legal advisors, and other financial market participants.
- Excellent leadership, team management, negotiation, and stakeholder management skills.
- Strong strategic and analytical thinking with the ability to translate complex financial information into clear business recommendations.
- Ability to manage multiple complex projects and transactions simultaneously while meeting tight deadlines.
- Excellent written and verbal communication and presentation skills.
- Fluency in Armenian and English; knowledge of Russian is an advantage.
- CFA, ACCA, FRM, or another relevant professional qualification is a strong advantage.
- Experience with ESG, sustainable finance, green bonds, or other green financing instruments is considered an advantage.
We design, finance, and create high-quality, innovative urban development projects that set new standards of living. By applying our team’s expert knowledge and experience, we build enduring urban values that emphasize transformation and sustainability — combining the principles of modern lifestyle with exceptional quality at every stage of project implementation.
Since its establishment in 2002, Renshin has played a key role in shaping Armenia’s real estate market, bringing innovation and a fresh perspective to the industry.
Employee Benefits:
6 paid working days of annual leave
Up to 6 paid hours of monthly absence
Professional training programs
English language courses
Team-building events and corporate celebrations
Gym membership