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Investment Head Profit Funds

Job in Cape Town, 7100, South Africa
Listing for: Old Mutual
Full Time position
Listed on 2025-12-31
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Portfolio Manager
  • Management
    Risk Manager/Analyst, Portfolio Manager
Job Description & How to Apply Below
Position: Investment Head : With-Profit Funds

Let's Write Africa's Story Together Old Mutual is a firm believer in the African opportunity and our diverse talent reflects this.

Job Description na This is a leadership role at the heart of one of South Africa's most significant investment mandates, with strategic oversight of R billion in multi-asset portfolios underpinning Old Mutual's with-profit products.

As Symmetry's investment lead for these funds, you will shape portfolio strategy across public markets, a substantial private markets programme, and direct property, delivering stable, long-term real returns that secure the financial futures of millions of policyholders.

The role operates under a formal internal mandate with Old Mutual's Policyholder Investment Committee (POLIC), which approves major strategic decisions.

You will be the trusted strategic advisor to POLIC, crafting recommendations on strategic asset allocation, portfolio design and manager selection, and directing implementation once approved.

This appointment comes at a pivotal moment, with Symmetry having recently assumed investment responsibility for the with-profit funds.

In the near term you will steer a set of strategic reviews and define a clear path to evolve the investment approach.

By delivering consistently high-quality analysis and disciplined execution, you will cement Symmetry's role as a strategic partner to POLIC and product leaders.

Over time, this should strengthen the case for a broader scope of delegated authority to be entrusted to you and your team, while advancing Symmetry's evolution into a full-spectrum investment solutions provider.

Key Responsibilities :
Investment Strategy & Portfolio Design Translate policyholder and product requirements into investment objectives and risk budgets that are practical to implement and monitor.

Formulate portfolio design principles and refresh them as conditions and product needs evolve.

Lead the development of the total portfolio design and strategic asset allocation for the with profit funds, integrating public and private markets and aligning to investment objectives and principles.

Turn the objectives and principles into implementable portfolio guidelines (ranges, rebalancing rules, within asset class structures, active / passive blend, style and factor balance, currency and liquidity) and oversee disciplined implementation.

Define the private markets strategy and guide the implementation.

Set pacing and commitment plans and integrate cash-flow forecasts into total-portfolio design and liquidity planning.

Maintain forward looking views on markets, expected returns and risks, and propose measured adjustments to strategy and implementation when warranted.

Manager Selection & Oversight Lead the research, due diligence, selection and oversight of underlying asset managers (internal and external).

Propose appointments and terminations with clear, evidence-based cases.

Set unambiguous performance expectations and reporting standards for underlying managers; drive fee and mandate terms that are competitive and aligned to policyholder value.

Run a continuous monitoring framework holding managers accountable for performance, mandate compliance and risk management.

Governance, Risk & Fiduciary Oversight Serve as the primary interface and advisor to POLIC, taking full ownership of the quality and integrity of all investment recommendations, performance analysis, and strategic reviews.

Ensure portfolio is managed in line with the Investment Policy Statement (IPS), the Internal Mandate & SLA, group risk frameworks, and all relevant regulatory requirements.

Operate a comprehensive risk framework to proactively identify, monitor, and control exposure to market, manager, credit, concentration, liquidity, and operational risks.

Own the end-to-end production of all committee materials and reporting for POLIC and its sub-committees, ensuring all performance measurement, risk analytics, and decision-support materials are accurate, insightful, and transparent.

Oversee implementation of the responsible investment framework in partnership with Group Sustainability, including policy adherence, disclosures, reporting, and stewardship activities.

Manage all interfaces with Group Risk, Finance, and other control functions, coordinating required attestations and any internal or external audits related to the investment mandate.

Stakeholder Relationships & Influence Forge a collaborative partnership with the Product owners in Old Mutual Corporate and other key business segments, to ensure alignment between the investment strategy and the product design, bonus philosophy and policyholder expectations.

Serve as the primary interface and lead relationship owner with all underlying asset managers, both internal affiliates and external firms, holding them accountable for performance and representing policyholder interests in senior governance forums for private markets and direct property vehicles.

Drive integration within the Symmetry ecosystem, leveraging central specialist…

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