





Tier-1 brand, metro product role and popular title increase competition, though alternatives specialization reduces applicant pool.
Role requires deep alternatives and asset management experience, limiting transferability across industries.
Explicit 12+ years, domain expertise, data governance, regulatory and stakeholder requirements create high shortlisting strictness.
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Define and own the product vision, roadmap, and target operating model for Global Alternative Investments aligning with client and firm-wide goals.
Lead cross-line-of-business governance and investment planning, including quarterly milestone delivery, risk mitigation, and product lifecycle management using agile methodologies.
Drive adoption and continuous improvement of alternative investment data products incorporating fintech and AI-enabled solutions with governance and compliance adherence.
Minimum 12 years of experience in asset/wealth management, alternatives, product management, or related fields.
Deep knowledge of alternative investment products, portfolio management, and fund-of-funds structures.
Proven experience building and operating data products with strong data governance, metadata/lineage, and operational controls.
Work Experience Required: At least 12 years in relevant fields.
Strategic leader experienced in managing complex alternative investment products and cross-functional stakeholder alignment across Product, Technology, Operations, Legal, Risk, and Compliance.
Experienced in agile product delivery, navigating competing priorities, and delivering scalable fintech or AI-enabled data solutions.
Domain expertise in private markets, hedge funds, real assets, and familiarity with portfolio management platforms and digital client solutions.