Participates in the analysis of lending policies and procedures, including scoring systems, strategic priorities, market share data, lending trends, external influences, current regulatory focuses, previous examination findings, and input from Audit .
February 08, 2020
Provide equity-related support to the Portfolio Manager for supervision of the regional equity portfolio investments, take leadership and responsibility for high value/complex equity exposures, in particular exit strategy formulation.
April 01, 2020
Prepare various monthly and quarterly reports for management and board of directors (concentrations, capital markets products, affiliated securities, high cash positions, non-researched managers and funds, alerts and violations) and resolve risk items.
April 09, 2020
Represent the Foundation and its work to government, media, academic, business, investment, philanthropic, and civic leaders through meetings, updates, speeches, and interviews.
April 13, 2020
Lead teams that select and evaluate investment managers for all asset classes, including long only equity, liability hedging, and alternative asset classes such as long short equity funds, absolute return hedge funds, real estate, timberland, venture capital, private equity, and oil & gas.
April 24, 2020
Support Portfolio Manager in ensuring that the right candidates are appointed as nominee directors on the boards of IFC investee companies, and assess their performance.
April 26, 2020
Developing strategy for investing in each asset class, taking into account objectives, investment styles, probable return and volatility, cost, liquidity and other factors within a total portfolio context.
June 09, 2020