
Manager des Investissements
FONSIS
Dakar, Senegal · West Africa
Role type
Fund Management, Treasury & Investor Relations
Experience
Mid-level
Language
French and English
Deadline
Before 30 Oct 2026, 18:00 GMT
Summary
FONSIS manages Senegal’s Fonds Intergénérationnel, which preserves and invests part of the country’s oil and gas revenues for future generations. Reporting to the FIG Executive Director, the Investment Manager will help implement the fund’s strategy across capital markets, infrastructure, private equity and other authorised asset classes. The role combines asset allocation and portfolio construction with analysis and execution of individual investments. It also covers external-manager oversight, portfolio valuations and governance reporting. The manager works with the Risk and Performance Manager to keep investments within the fund’s approved policies and risk limits as its strategy is deployed.
Key responsibilities
Implement asset-allocation decisions and contribute to portfolio construction and diversification.
Identify investments aligned with FIG objectives and monitor economic, financial, sector and regulatory developments.
Analyse investment finances, strategy and risk; build models, valuations and investment notes.
Coordinate financial, legal, tax, technical, operational and ESG due diligence where required.
Support structuring, negotiation and execution with external advisers and transaction stakeholders.
Monitor financial and operating performance, value portfolio assets and participate in investee governance.
Oversee delegated managers against mandates, performance expectations and investment policies.
Prepare investment and periodic reporting for management, the Investment Committee and Board; coordinate risk and portfolio reviews.
Key requirements
At least eight years of relevant investment or asset-management experience.
Significant experience in an investment, sovereign or pension fund, asset manager, investment bank, DFI or transaction-advisory firm.
Demonstrated investment analysis, structuring, execution and monitoring experience.
Bac+5 qualification in Finance, Financial Engineering, Economics, Financial Mathematics, Asset Management, Engineering or another relevant discipline.
Excellent financial analysis, modelling and valuation skills.
Knowledge of capital markets, asset classes, financial instruments, portfolio construction and asset allocation.
Understanding of investment structures, financing mechanisms, ESG and governance.
Excellent spoken and written French and English, with strong drafting, presentation and negotiation skills.
Send a CV and cover letter to careers@fonsis.org, using the exact job title as the email subject, before 30 October 2026 at 18:00 GMT.