Portfolio Management Officer

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  • Added Date: Monday, 29 September 2025
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Portfolio Management Officer

Vacancy Number: 2325

Department/Unit: Finance / Treasury / Portfolio Management

Date of Issuance: September 25, 2025

Deadline of Applications: October 26, 2025

Required Languages: English

Contract Type: Fixed Term Contract

Grade: Professional

Job Category: F

Recruitment Status: International / Local**

Contract Duration: Two-year fixed term appointment, with the possibility of renewal.

*Please note that the recruitment modality for professional positions (international or local) will be determined in line with the OPEC Fundโ€™s policies and procedures, and based on the candidateโ€™s nationality and residency status at the time of appointment.

Nationals from the Member Countries of the OPEC Fund for International Development are strongly encouraged to apply. The Member Countries are: Algeria, Ecuador, Gabon, Indonesia, Iran, Iraq, Kuwait, Libya, Nigeria, Saudi Arabia, United Arab Emirates, and Venezuela.

Job Profile

The Portfolio Management Officer supports the management of OPEC Fundโ€™s fixed income Liquidity Portfolios to ensure capital preservation, liquidity, and sustainable returns in line with the Fundโ€™s approved policies and objectives.

๐Ÿ“š ๐——๐—ถ๐˜€๐—ฐ๐—ผ๐˜ƒ๐—ฒ๐—ฟ ๐—›๐—ผ๐˜„ ๐˜๐—ผ ๐—š๐—ฒ๐˜ ๐—ฎ ๐—๐—ผ๐—ฏ ๐—ถ๐—ป ๐˜๐—ต๐—ฒ ๐—จ๐—ก ๐—ถ๐—ป ๐Ÿฎ๐Ÿฌ๐Ÿฎ๐Ÿฏ! ๐ŸŒ๐Ÿค ๐—ฅ๐—ฒ๐—ฎ๐—ฑ ๐—ผ๐˜‚๐—ฟ ๐—ก๐—˜๐—ช ๐—ฅ๐—ฒ๐—ฐ๐—ฟ๐˜‚๐—ถ๐˜๐—บ๐—ฒ๐—ป๐˜ ๐—š๐˜‚๐—ถ๐—ฑ๐—ฒ ๐˜๐—ผ ๐˜๐—ต๐—ฒ ๐—จ๐—ก ๐Ÿฎ๐Ÿฌ๐Ÿฎ๐Ÿฏ ๐˜„๐—ถ๐˜๐—ต ๐˜๐—ฒ๐˜€๐˜ ๐˜€๐—ฎ๐—บ๐—ฝ๐—น๐—ฒ๐˜€ ๐—ณ๐—ผ๐—ฟ ๐—จ๐—ก๐—›๐—–๐—ฅ, ๐—ช๐—™๐—ฃ, ๐—จ๐—ก๐—œ๐—–๐—˜๐—™, ๐—จ๐—ก๐——๐—ฆ๐—ฆ, ๐—จ๐—ก๐—™๐—ฃ๐—”, ๐—œ๐—ข๐—  ๐—ฎ๐—ป๐—ฑ ๐—ผ๐˜๐—ต๐—ฒ๐—ฟ๐˜€! ๐ŸŒ

โš ๏ธ ๐‚๐ก๐š๐ง๐ ๐ž ๐˜๐จ๐ฎ๐ซ ๐‹๐ข๐Ÿ๐ž ๐๐จ๐ฐ: ๐๐จ๐ฐ๐ž๐ซ๐Ÿ๐ฎ๐ฅ ๐“๐ž๐œ๐ก๐ง๐ข๐ช๐ฎ๐ž๐ฌ ๐ก๐จ๐ฐ ๐ญ๐จ ๐ ๐ž๐ญ ๐š ๐ฃ๐จ๐› ๐ข๐ง ๐ญ๐ก๐ž ๐”๐ง๐ข๐ญ๐ž๐ ๐๐š๐ญ๐ข๐จ๐ง๐ฌ ๐๐Ž๐–!

Duties and Responsibilities

Portfolio management

Formulates and presents investment recommendations in fixed income securities, derivatives, foreign exchange and money market instruments in line with approved policies and guidelines, contributing to the efficient management of the Liquidity Portfolio (LIQP)Executes dealing operations for internally managed Treasury portfolios as well as hedges related to OPEC Fundโ€™s loan portfolio and balance sheetSupports OPEC Fundโ€™s ECP issuance and repo activities for short-term liquidity managementMaintains and develops relationships with portfolio management and related business partners including but not limited to deposit counterparties, brokers/dealers and derivative/Forex counterpartiesSupports the implementation and enhancement of Treasury portfolio management infrastructure

Data collection and analysis

Performs market research, financial and economic analysis, and prepares reports as required

Monitor and Reporting

Tracks and manages OPEC Fundโ€™s cash flow status, cash position and overall liquidity positionEnsures compliance with relevant risk limits, including but not limited to single counterparty, sector, and foreign exchange (Forex) limits, etc.Performs ongoing evaluation of treasury counterpartiesโ€™ credit standingConducts ongoing monitoring and performance assessment of banking and broking counterpartiesCoordinates front office activities with the Financial Management Function of Treasury which performs reportingMonitors and analyzes External Portfolio Managersโ€™ investment strategies and performance, including risk and performance attribution reporting

Policy development and implementation

Contributes to the formulation/development of portfolio management related guidelines and policies for internal and external managed portfolios

Carries out other tasks assigned by the Head of Portfolio Management, or Treasurer, that are related to the job function.

Qualifications and Experience

Masterโ€™s degree in Business Administration, Finance, Business, Economics and Banking or a closely related fieldA minimum of five (5) years of direct relevant professional experience, of which two to three (2-3) years should have been in an international financial institutionStrong familiarity with portfolio management theory and practice is requiredStrong analytical skills with extensive experience interpreting financial dataDemonstrated expertise in trading and hedgingProficiency in Bloomberg Terminal and MS Office suite, including Word, Excel and PowerPointDatabase related programming skills (SQL, JAVA, Python, Power BI and etc.) are an added advantageProficiency in data management and analysis tools is requiredStrong analytical and reporting skills are essentialFamiliarity with MDB investment guidelines, strategies, and reporting requirements is an added advantageFluent in English. Good working knowledge of Arabic, French, German or Spanish is an added advantage.

Competencies

Ability to Work Under Pressure - The capacity to remain composed, focused and productive when facing tight deadlines, high-stakes situations and demanding workloads.Collaboration and Teamwork - The ability to effectively work with colleagues, stakeholders and partners to achieve shared goals.Communication - The ability to relay ideas, information and messages effectively and succinctly to a variety of audiences.Cross-Cultural Sensitivity - The ability to take into account the variety of the human experience and how it contributes to the workplace and to demonstrate respect for diverse cultures and viewpoints.Effective Planning and Follow Up - The ability to set clear goals and priorities; skillfully organize tasks for efficiency; consistently follow through on commitments and plans.

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