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14 Jan 2026

Fund Manager at CityCode Mortgage Bank Limited

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CityCode Mortgage Bank Limited is a duly registered Primary Mortgage Bank that has remained healthy since inception in 1992. We are set up for the purpose of providing mortgage loans and assisting customers in accessing National Housing Fund Loan through Federal Mortgage Bank of Nigeria.

We are recruiting to fill the position below:

Job Title: Fund Manager

Location: Lagos

Job Description

  • The ideal candidate will be responsible for asset allocation, portfolio management, risk assessment, and strategic investment decision-making across multiple asset classes.

Responsibilities

  • Manage and optimize investment portfolios to achieve targeted returns while mitigating risks.
  • Conduct in-depth market research, financial analysis, and economic forecasting to guide investment decisions.
  • Develop and implement fund strategies across asset classes such as equities, fixed income, real estate, and money market instruments.
  • Monitor portfolio performance, market trends, and regulatory developments.
  • Prepare and present periodic investment reports, portfolio analytics, and performance updates to management and clients.
  • Identify new investment opportunities and evaluate their suitability for various portfolio mandates.
  • Ensure compliance with regulatory guidelines (SEC, CFA, NAICOM, etc.) and internal investment policies.
  • Maintain strong relationships with clients, investors, brokers, and other market stakeholders.
  • Oversee fund operations, risk controls, and documentation for all managed portfolios.
  • Support capital-raising efforts, investor engagement, and marketing of existing and new funds.

Requirements

  • Bachelor’s Degree in Finance, Economics, Accounting, Investment Management, or related field.
  • Professional qualifications such as CFA, CIS, ACCA, ICAN, or progress toward any of these is an added advantage.
  • 5–10 years’ experience in portfolio management, investment analysis, or fund management in an investment or asset management firm.
  • Strong understanding of financial markets, asset classes, investment instruments, and portfolio construction.
  • Demonstrated ability to outperform benchmarks and deliver consistent portfolio results.
  • Excellent analytical, quantitative, and research skills.
  • Strong communication, presentation, and client relationship management skills.
  • High level of integrity, discipline, and strategic thinking.

Benefits

  • Competitive remuneration and performance-based bonuses.
  • Opportunity to work with a reputable and fast-growing investment institution.
  • Access to continuous professional development and industry exposure.
  • A stimulating, collaborative, and high-performance work environment.

Application Closing Date
15th January, 2026.




Method of Application

Interested and qualified candidates should send their Application to:

 [email protected]

 using the job title as the subject of the email.



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