Tbcbank
Chief Executive Officer – TBC Asset Management
Tbilisi, Tbilisi, Georgia · Exec
Sponsorship not specifiedDetected 54 days ago
ComplianceStakeholder ManagementBusiness DevelopmentValuationLeadershipCommunicationInternal Audit
About the role
- The company's flagship product, which was the driver of company's growth, is Diversified Credit Portfolio - private credit fund.
- Our investment funds serve both individual and institutional investors.
- Since January 2026, TBC AMC has also taken on co-management of Georgia's only operating private pension schemes, with approximately GEL 50 million under management.
Responsibilities
- Drive AUM growth through fundraising, partnerships, and distribution initiatives across group and outside counterparties
- Develop and refine investment strategies aligned with market conditions
- Monitor portfolio performance, compliance with mandates, and implement necessary adjustments
- Develop and enhance portfolio and investment management direction through synergies across the group
- Coordinate with key partners (auditors, brokers, custodians, depositaries, administrators)
- Drive operational efficiency by identifying process gaps and implementing automation where it reduces manual work and operational risk
- Maintain effective engagement with regulators and support market development initiatives
- Maintain audit readiness and strong governance standards
- Lead, develop, and inspire a high-performing team across investments, business development, risk, and operations
- Opportunity to lead one of the fastest-growing asset management platforms in the region
Requirements
- Extensive experience in asset management, banking, capital markets, private equity or roles with transferable capabilities
- Strong track record in investment banking, investment management and/or business leadership
Compensation
- Execute and continuously redefine company's strategic direction and growth roadmap based on market opportunities
- Drive AUM growth through fundraising, partnerships, and distribution initiatives across group and outside counterparties
- Oversee portfolio management across all funds, ensuring strong risk-adjusted performance
- Develop and refine investment strategies aligned with market conditions
- Monitor portfolio performance, compliance with mandates, and implement necessary adjustments
- Stay ahead of market trends and capital market developments
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