Incofin IM is an emerging markets focused independent impact investment manager focused on financial inclusion, the agri-food value chain and safe water. Driven by a desire to promote inclusive progress, Incofin strives to provide the support entrepreneurs’ need in order to improve to lives of the less privileged people. Incofin IM is an AIFM licensed fund manager, advising and managing more than EUR 1 billion of assets. Incofin has a team of 80 professionals spread over the headquarters in Belgium and for regional offices in Colombia, India, Kenya and Cambodia. It is expected that every Incofin employee will demonstrate the highest professional standards and ethical values. For further information, please visit: https://www.incofin.com
We are currently looking for an energetic and highly motivated
Investor Solutions Associate
to strengthen our Investor Solutions team. Position is located in Antwerp, Belgium.
You will support the development of Incofin initiatives throughout its private debt and private equity capabilities. This includes needs identification, impact thesis development, fund structuring, and investment strategy development. You will respond to Requests for Proposal (RfP) for new business opportunities, manage the RfP projects and assist with the creation of marketing materials such as tailored investor presentations. You will be also part of the due diligence interaction with potential investors and contribute to the project management of due diligence process and investor onboarding (including management of investor Due Diligence Questionnaire). You will have a possibility to identify optimal investor approach methodology, track and attend investor conferences and perform project and contract management of fundraising agents that support Incofin. You will be also responsible for database support and reporting, including Incofin investor list, reports and track records.
You have at least 1 – 2 years of previous working experience in consulting, financial business development, or asset management. You hold a master’s degree in finance, economics, or business management (or equivalent) and have a commercial mindset, ability to convince different stakeholders and an appetite for investor interaction. We will expect from you excellent research, collaboration, organisational and communications skills combined with strong quantitative and analytical skills. Knowledge of French, Spanish or German language is a plus. Previous experience in financial modelling and ESG would be a great advantage. The role will require a strong affinity for impact and responsible finance, ability to work collaboratively with a global team, ability to manage work with tight deadlines and ability to adapt to evolving or rapidly changing environments.
How to apply
We want to offer all candidates the best possible recruitment experience, including a neutral assessment of the skills and competencies. Therefore, we kindly ask you not to include any personal details to your CV and motivation letter, such as picture, age, gender, or marital status.
Please send your CV and application letter in English with your salary request to email@example.com latest by December 22, 2021.