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Investment Officer - Private Equity

Job in Blue Springs, Jackson County, Missouri, 64014, USA
Listing for: mosers
Full Time position
Listed on 2026-07-09
Job specializations:
  • Finance & Banking
    Portfolio & Asset Management, Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 80000 - 110000 USD Yearly USD 80000.00 110000.00 YEAR
Job Description & How to Apply Below

What You’ll Do

MOSERS is searching for an individual to fill an investment officer of private equity role to round out an investment team that implements a forward-thinking pension portfolio. The primary responsibilities of this position are to lead the management of the private equity portfolio, including conducting research, due diligence, and modeling for prospective and existing managers; and providing oversight of external private equity manager relationships within this portfolio.

This position works in our office in Jefferson City, Missouri.

About MOSERS

MOSERS has been named one of the Best Places to Work in Money Management by Pensions & Investments magazine for 2024 and 2025. Our investment program is responsible for managing an over $10 billion portfolio held in trust for the payment of pension benefits to our members. Our portfolio has a sophisticated asset allocation utilizing explicit leverage. Visit the Investments page on our website for more information regarding MOSERS investment program.

MOSERS offers competitive compensation in terms of pay and benefits.  to learn more about our valuable benefits package which includes financial support to obtain certifications such as the CFA and CAIA as well as a tuition reimbursement program.

How You'll Spend Your Time
  • Oversee external manager relationships. Duties will include daily monitoring of assigned managers, conducting due diligence meetings, and writing reports to document current thoughts.
  • Lead the manager hiring and termination process for assigned asset classes to comply with MOSERS governance policies.
  • Lead asset class meetings to inform the group about current market conditions, current positioning, manager performance and research projects.
  • Produce research on markets and sub‑class allocations for use in asset allocation decisions.
  • Recommend and implement strategic, value‑added allocations across assigned asset classes.
  • Read, understand, and contribute to legal documents and account paperwork reviews with increasing understanding and contribution.
  • Track external research sources including interacting with senior research and portfolio management professionals in the investment management and investment banking industries, to provide useful insight into markets and investment opportunities.
  • Work with the internal risk team, investment managers, and software vendors to ensure the quality of the data in the risk measurement and custodian systems.
  • Develop and run reports on investment statistical software systems for use by the team in the investment decision‑making process.
  • Maintain regular and reliable attendance.
  • Perform other duties as needed or assigned.
What we're looking for in the ideal candidate
  • Bachelor’s degree in business administration, economics, finance, or closely related field with 5 years of relevant institutional experience is desired. Master’s degree is strongly preferred.
  • Chartered Financial Analyst (CFA) designation and Chartered Alternative Investment Analyst (CAIA) designation or progress toward the designation(s) is strongly preferred.
  • Requires an advanced knowledge of investment markets, economic theories, investment principles, and portfolio management, including a rigorous understanding of return measurement, risk factor exposures, and the distinctions between time‑weighted returns and the common performance metrics used in closed‑end vehicles.
  • Strong computer skills and a sound working knowledge of portfolio management systems are essential. Our ideal candidate has quantitative skills in building financial models, and ability to work with complex data sets to enable better decision‑making, through either advanced Excel or other programming methods.
  • Requires strong abilities in interpreting statistical data and investment markets, including comfort with quantitative methods and factor‑based frameworks as applied to both liquid and illiquid strategies.
  • Demonstrated experience across the full lifecycle of private market investments, including operational workflows and legal review.
  • Experience working with multiple illiquid asset classes is preferred, though candidates with additional experience in quantitative…
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