Oister Global

10 Job openings at Oister Global
Backend Developer Gurugram,Haryana,India 5 years Not disclosed On-site Full Time

Oister Global ( www.oisterglobal.com) i s India’s premier Alternative Assets Manager . We combine robust diligence, deep domain expertise, and an extensive network to create high quality private market opportunities for our investors. We are seeking a Senior Backend Developer who will be pivotal in architecting and developing scalable, reliable backend systems from scratch. You will work closely with product managers, designers, and other engineers to build new products, design backend architectures, and ensure high performance and responsiveness of the systems. This role requires strong backend fundamentals, cloud experience, a deep understanding of databases, and a passion for system design and architecture. Key Responsibilities: ● Product Development: Architect, design, develop, test, and deploy new backend products and features from scratch. ● System Design: Take ownership of system design and architecture decisions for new modules, ensuring scalability, reliability, and security. ● API Development: Build efficient and reusable APIs and backend services using Node.js. ● Database Management: Design data models, optimize queries, and manage MongoDB clusters efficiently. ● Cloud Management: Deploy, maintain, and optimize services on AWS, ensuring high availability and performance. ● Best Practices: Maintain coding standards, ensure code reviews, and champion best practices in security, testing, and maintainability. ● Collaboration: Work closely with frontend developers, product managers, QA, and other cross-functional teams to define, design, and ship new features. ● Performance Optimization: Monitor system performance and ensure system uptime and responsiveness. ● Mentorship: Provide guidance and mentorship to junior developers as required. ● Documentation: Maintain thorough documentation of systems, processes, and best practices. Must-Have Qualifications: ● Education: Bachelor’s degree in computer science, Software Engineering, or a related technical field. ● Experience: 4–5+ years of hands-on backend development experience. ● Expertise in: Node.js (Express.js, Nest.js or similar frameworks) MongoDB (including indexing, replication, sharding concepts) AWS Services (EC2, S3, Lambda, RDS, API Gateway, CloudWatch, IAM, etc.) Proficient in: System design principles Microservices architecture Event-driven architecture Strong understanding of : RESTful APIs. Authentication and authorization best practices (OAuth, JWT) Experience with : CI/CD pipelines Docker and containerization principles Hands-on experience in : Building scalable, distributed, and fault-tolerant systems G ood knowledge of: Logging, monitoring, and debugging distributed applications Show more Show less

Senior Backend Developer Gurugram,Haryana,India 5 years Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is India’s premier Alternative Assets Manager. We combine robust diligence, deep domain expertise, and an extensive network to create high quality private market opportunities for our investors. We are seeking a Senior Backend Developer who will be pivotal in architecting and developing scalable, reliable backend systems from scratch. You will work closely with product managers, designers, and other engineers to build new products, design backend architectures, and ensure high performance and responsiveness of the systems. This role requires strong backend fundamentals, cloud experience, a deep understanding of databases, and a passion for system design and architecture. Key Responsibilities Product Development: Architect, design, develop, test, and deploy new backend products and features from scratch. System Design: Take ownership of system design and architecture decisions for new modules, ensuring scalability, reliability, and security. API Development: Build efficient and reusable APIs and backend services using Node.js. Database Management: Design data models, optimize queries, and manage MongoDB clusters efficiently. Cloud Management: Deploy, maintain, and optimize services on AWS, ensuring high availability and performance. Best Practices: Maintain coding standards, ensure code reviews, and champion best practices in security, testing, and maintainability. Collaboration: Work closely with frontend developers, product managers, QA, and other cross-functional teams to define, design, and ship new features. Performance Optimization: Monitor system performance and ensure system uptime and responsiveness. Mentorship: Provide guidance and mentorship to junior developers as required. Documentation: Maintain thorough documentation of systems, processes, and best practices. Must-Have Qualifications Education: Bachelor’s degree in computer science, Software Engineering, or a related technical field. Experience: 4–5+ years of hands-on backend development experience. Expertise in: Node.js (Express.js, Nest.js or similar frameworks) MongoDB (including indexing, replication, sharding concepts) AWS Services (EC2, S3, Lambda, RDS, API Gateway, CloudWatch, IAM, etc.) Proficient in: System design principles Microservices architecture Event-driven architecture Strong understanding of: RESTful APIs.Authentication and authorization best practices (OAuth, JWT) Experience with: CI/CD pipelines Docker and containerization principles Hands-on experience in: Building scalable, distributed, and fault-tolerant systems Good knowledge of : Logging, monitoring, and debugging distributed applications Skills:- NodeJS (Node.js), MongoDB, Amazon Web Services (AWS), Javascript, React.js and Data Structures Show more Show less

Compliance Officer gurugram,haryana,india 2 - 3 years None Not disclosed On-site Full Time

Oister Global ( www.oisterglobal.com ) is India’s premier Alternative Assets Manager . We combine robust diligence, deep domain expertise, and an extensive network to create high quality private market opportunities for our investors. We are seeking a highly skilled and experienced Company Secretary/Compliance professional to join our team at Oister in Gurugram. The candidate will play a crucial role in ensuring corporate compliance, governance, and efficient administration of company affairs. Role description: Ensure compliance with SEBI Regulations applicable to Alternative Investment Funds, Intermediaries, GIFT City IFSCA and all allied regulations Spearhead compliance and risk management activities for the Funds. Develop and manage an annual compliance calendar. Ensure timely submission of required filings and reports. Strong understanding of regulatory requirements under Companies Act, FEMA etc. for transactions carried out for the Funds Draft and Review policies and processes, systems to meet compliance requirements for the Funds Be updated about the latest regulatory changes and requirements, particularly those related to the AIF, SEZ Act, KYC/AML laws, and SEBI AIF IFSC Guidelines Prepare, analyze, and validate various reports, including compliance reports for presentation to the Board and regulators Maintain all statutory registers and secretarial records Organizing and maintaining documents related to AIF investments, ensuring accurate reporting to the Trustee, contributors, and regulators Manage statutory filings and submissions for AIF, including updation of Private Placement Memorandums Monitor and report compliances relating to investors' servicing to statutory authorities Impart training on various compliance topics while implementing a new policy / procedure on an ongoing basis Protect the entity from any material regulatory or compliance risk / breaches including Financial Crimes Compliance Work closely with legal and other internal departments to ensure a cohesive approach to compliance. Liaise with external advisors, auditors, and legal counsel. Candidate description: Holds qualification as a member of the Institute of Company Secretaries of India (ICSI), or as a member of the Institute of Chartered Accountants of India (ICAI) or a LLB with relevant experience At least 2-3 years in related activities in the securities market or financial products including in a portfolio manager, broker dealer, investment advisor, wealth manager, research analyst or fund management Possesses relevant secretarial experience, preferably in a financial sector company Experience of conducting research on SEBI AIF Regulations, FEMA, and investment regulations across various sectors, industries, and jurisdictions; ideally, have experience dealing with foreign law firms in this context

AIF Compliance Officer haryana 2 - 6 years INR Not disclosed On-site Full Time

As a Company Secretary/Compliance professional at Oister Global, your role will be crucial in ensuring corporate compliance, governance, and efficient administration of company affairs. Your responsibilities will include: - Ensuring compliance with SEBI Regulations applicable to Alternative Investment Funds, Intermediaries, GIFT City IFSCA, and all allied regulations. - Spearheading compliance and risk management activities for the Funds and developing an annual compliance calendar. - Ensuring timely submission of required filings and reports. - Having a strong understanding of regulatory requirements under Companies Act, FEMA, etc. for transactions carried out for the Funds. - Drafting and reviewing policies, processes, and systems to meet compliance requirements for the Funds. - Staying updated about the latest regulatory changes and requirements, particularly those related to the AIF, SEZ Act, KYC/AML laws, and SEBI AIF IFSC Guidelines. - Preparing, analyzing, and validating various reports, including compliance reports for presentation to the Board and regulators. - Maintaining all statutory registers and secretarial records. - Organizing and maintaining documents related to AIF investments, ensuring accurate reporting to the Trustee, contributors, and regulators. - Managing statutory filings and submissions for AIF, including updating Private Placement Memorandums. - Monitoring and reporting compliances relating to investors" servicing to statutory authorities. - Imparting training on various compliance topics while implementing new policies/procedures on an ongoing basis. - Protecting the entity from any material regulatory or compliance risk/breaches, including Financial Crimes Compliance. - Working closely with legal and other internal departments to ensure a cohesive approach to compliance. - Liaising with external advisors, auditors, and legal counsel. Qualifications required for this role: - Hold qualification as a member of the Institute of Company Secretaries of India (ICSI), or as a member of the Institute of Chartered Accountants of India (ICAI), or a LLB with relevant experience. - Have at least 2-3 years of experience in related activities in the securities market or financial products, including in a portfolio manager, broker-dealer, investment advisor, wealth manager, research analyst, or fund management. - Possess relevant secretarial experience, preferably in a financial sector company. - Have experience conducting research on SEBI AIF Regulations, FEMA, and investment regulations across various sectors, industries, and jurisdictions; ideally, have experience dealing with foreign law firms in this context.,

Senior Fund Accountant gurugram,haryana,india 7 - 10 years None Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is India’s premier Alternative Assets Manager. We combine robust diligence, deep domain expertise and an extensive network to create high quality private market opportunities for our investors. Oister is looking for a detail-oriented and analytical Fund Accountant to join our team. The role involves managing the financial operations and accounting activities for investment funds, ensuring accurate financial reporting, compliance with regulatory standards. Profile description: Lead and oversee NAV management for all Category II AIF schemes, ensuring accuracy, timeliness, and compliance with regulatory standards. Drive error-free and timely NAV processing and release, maintaining robust controls and governance across fund operations. Manage investor distributions, ensuring precision, transparency, and adherence to fund policies. Coordinate seamlessly with Fund Accountants, Brokers, Counterparties and Custodians to ensure integrity of NAV accounting and related processes. Supervise capital activity, including accounting of subscriptions and redemptions, in strict compliance with the Private Placement Memorandum and applicable regulations. Oversee taxation matters such as TDS and GST payments, periodic return filings, and advance tax provisioning and payments at quarter-end. Ensure rigorous reconciliation of bank accounts, holdings, and expenses to maintain financial accuracy and control. Liaise with vendors and technology partners to implement upgrades and enhancements in accounting systems, driving efficiency and automation. Review and validate redemption computations as per PPM methodology, incorporating necessary adjustments in line with evolving taxation laws. Provide strategic inputs for Business MIS reporting, enabling data-driven decision-making for AIF operations. Manage comprehensive fee calculations, including setup fees, management fees, custody charges, performance fees, exit loads, brokerage, margins, PCM charges, distributor commissions, and other fund-related expenses. Oversee monthly TDS and GST compliance across all AIF schemes, ensuring timely payments and filings. Prepare and review investor communications, including Form 64-C, K-1 statements for NRI/US investors, distribution letters, drawdown notices, and other investor-facing documents. Ensure accurate tax computation under the Income Tax Act, 1961, incorporating tax impacts into NAV for Cat II AIFs, and review annual income tax returns for VC/PE funds. Prepare and present Income Statements and other financial reports to investors, ensuring transparency and alignment with reporting standards. Manage and oversee all regulatory submissions, including INVI filings, SEBI reports, tax filings, and other statutory disclosures, ensuring full compliance with applicable laws and timely reporting obligations. Candidate Description: Bachelors/Masters in Finance. Preferably a CA 7-10 years of relevant experience, with proven expertise in Category II AIFs Demonstrated ability to communicate effectively with stakeholders through clear, concise, and professional verbal and written communication. Proven track record of delivering high-quality outputs under tight timelines, with strong organisational and prioritisation skills. Analytical mindset with a structured problem-solving approach, capable of addressing complex financial and regulatory challenges. Deep understanding of investor-centric and business-oriented practices, ensuring alignment of financial operations with stakeholder expectations. Prior experience in fund accounting, audit, taxation, and investor reporting within Cat II AIFs will be a significant advantage. Key stakeholders: External - Fund Administrators/RTA, Custodians, Bankers, Distributors, Underlying Fund Account team Internal - Sales / Fund Manager / Compliance / Legal /and other associate stakeholders Job location: Gurugram

Senior Fund Accountant gurugram,haryana,india 7 - 10 years INR Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is India's premier Alternative Assets Manager. We combine robust diligence, deep domain expertise and an extensive network to create high quality private market opportunities for our investors. Oister is looking for a detail-oriented and analytical Fund Accountant to join our team. The role involves managing the financial operations and accounting activities for investment funds, ensuring accurate financial reporting, compliance with regulatory standards. Profile description: Lead and oversee NAV management for all Category II AIF schemes, ensuring accuracy, timeliness, and compliance with regulatory standards. Drive error-free and timely NAV processing and release, maintaining robust controls and governance across fund operations. Manage investor distributions, ensuring precision, transparency, and adherence to fund policies. Coordinate seamlessly with Fund Accountants, Brokers, Counterparties and Custodians to ensure integrity of NAV accounting and related processes. Supervise capital activity, including accounting of subscriptions and redemptions, in strict compliance with the Private Placement Memorandum and applicable regulations. Oversee taxation matters such as TDS and GST payments, periodic return filings, and advance tax provisioning and payments at quarter-end. Ensure rigorous reconciliation of bank accounts, holdings, and expenses to maintain financial accuracy and control. Liaise with vendors and technology partners to implement upgrades and enhancements in accounting systems, driving efficiency and automation. Review and validate redemption computations as per PPM methodology, incorporating necessary adjustments in line with evolving taxation laws. Provide strategic inputs for Business MIS reporting, enabling data-driven decision-making for AIF operations. Manage comprehensive fee calculations, including setup fees, management fees, custody charges, performance fees, exit loads, brokerage, margins, PCM charges, distributor commissions, and other fund-related expenses. Oversee monthly TDS and GST compliance across all AIF schemes, ensuring timely payments and filings. Prepare and review investor communications, including Form 64-C, K-1 statements for NRI/US investors, distribution letters, drawdown notices, and other investor-facing documents. Ensure accurate tax computation under the Income Tax Act, 1961, incorporating tax impacts into NAV for Cat II AIFs, and review annual income tax returns for VC/PE funds. Prepare and present Income Statements and other financial reports to investors, ensuring transparency and alignment with reporting standards. Manage and oversee all regulatory submissions, including INVI filings, SEBI reports, tax filings, and other statutory disclosures, ensuring full compliance with applicable laws and timely reporting obligations. Candidate Description: Bachelors/Masters in Finance. Preferably a CA 7-10 years of relevant experience, with proven expertise in Category II AIFs Demonstrated ability to communicate effectively with stakeholders through clear, concise, and professional verbal and written communication. Proven track record of delivering high-quality outputs under tight timelines, with strong organisational and prioritisation skills. Analytical mindset with a structured problem-solving approach, capable of addressing complex financial and regulatory challenges. Deep understanding of investor-centric and business-oriented practices, ensuring alignment of financial operations with stakeholder expectations. Prior experience in fund accounting, audit, taxation, and investor reporting within Cat II AIFs will be a significant advantage. Key stakeholders: External - Fund Administrators/RTA, Custodians, Bankers, Distributors, Underlying Fund Account team Internal - Sales / Fund Manager / Compliance / Legal /and other associate stakeholders Job location: Gurugram

OISTER - Investment Analyst gurugram,haryana,india 3 - 6 years None Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is a leading Alternate Asset Manager in India's top-tier private market funds. With a strategic focus on venture capital, venture debt, private equity, and private credit, Oister is at the forefront of powering India's Alternative era. Oister is looking for an Investment Analyst who will play a crucial role in the investment process, assisting in sourcing and evaluating potential investment opportunities, conducting in-depth due diligence, and supporting portfolio management activities. The ideal candidate will have strong financial acumen, excellent analytical skills, and a passion for private market investments. Profile Description Investment Research & Analysis: Conduct market research to identify industry trends, competitive landscapes, and potential investment opportunities in targeted sectors Analyze financial statements, business plans, and company performance to evaluate potential investments Prepare comprehensive investment memos and presentations for the investment committee Due Diligence Assist in the due diligence process, including financial modelling, valuation analysis, and risk assessment of potential acquisitions Collaborate with external advisors, including legal, accounting, and industry experts, to gather relevant information and insights Collaborate in creating materials that explain funds to internal client-facing colleagues Portfolio Management Monitor and report on the performance of portfolio funds, providing updates and insights to the investment team Keep the information available on portfolio funds up to date for both the investment team and external clients Prepare reports on portfolio funds for external clients Deal Sourcing & Networking Support deal sourcing efforts by identifying potential investment opportunities through industry research, networking, and attending conferences Build and maintain relationships with industry contacts, intermediaries, and entrepreneurs to generate deal flow Financial Modelling & Valuation Develop and maintain complex financial models to assess investment opportunities and support decision-making Conduct valuations using various methodologies, including discounted cash flow (DCF), precedent transactions, and market comparable Candidate Description Bachelor's degree in finance, Economics, Business, or a related field. An advanced degree (MBA, CFA, CPA) is a plus 3-6 years of experience in investment banking, private equity, management consulting, or a related field Strong financial modelling, valuation, and analytical skills Excellent knowledge of venture capital / private equity industry trends and investment strategies Proficiency in Microsoft Excel, PowerPoint, and financial analysis software Strong written and verbal communication skills Ability to work independently and as part of a team in a fast-paced, dynamic environment Location: Gurgaon (ref:iimjobs.com)

OISTER - Investment Analyst gurugram,haryana,india 3 - 6 years INR Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is a leading Alternate Asset Manager in India's top-tier private market funds. With a strategic focus on venture capital, venture debt, private equity, and private credit, Oister is at the forefront of powering India's Alternative era. Oister is looking for an Investment Analyst who will play a crucial role in the investment process, assisting in sourcing and evaluating potential investment opportunities, conducting in-depth due diligence, and supporting portfolio management activities. The ideal candidate will have strong financial acumen, excellent analytical skills, and a passion for private market investments. Profile Description Investment Research & Analysis: Conduct market research to identify industry trends, competitive landscapes, and potential investment opportunities in targeted sectors Analyze financial statements, business plans, and company performance to evaluate potential investments Prepare comprehensive investment memos and presentations for the investment committee Due Diligence Assist in the due diligence process, including financial modelling, valuation analysis, and risk assessment of potential acquisitions Collaborate with external advisors, including legal, accounting, and industry experts, to gather relevant information and insights Collaborate in creating materials that explain funds to internal client-facing colleagues Portfolio Management Monitor and report on the performance of portfolio funds, providing updates and insights to the investment team Keep the information available on portfolio funds up to date for both the investment team and external clients Prepare reports on portfolio funds for external clients Deal Sourcing & Networking Support deal sourcing efforts by identifying potential investment opportunities through industry research, networking, and attending conferences Build and maintain relationships with industry contacts, intermediaries, and entrepreneurs to generate deal flow Financial Modelling & Valuation Develop and maintain complex financial models to assess investment opportunities and support decision-making Conduct valuations using various methodologies, including discounted cash flow (DCF), precedent transactions, and market comparable Candidate Description Bachelor's degree in finance, Economics, Business, or a related field. An advanced degree (MBA, CFA, CPA) is a plus 3-6 years of experience in investment banking, private equity, management consulting, or a related field Strong financial modelling, valuation, and analytical skills Excellent knowledge of venture capital / private equity industry trends and investment strategies Proficiency in Microsoft Excel, PowerPoint, and financial analysis software Strong written and verbal communication skills Ability to work independently and as part of a team in a fast-paced, dynamic environment Location: Gurgaon (ref:iimjobs.com)

Investment Analyst (2-4) gurugram,haryana,india 2 - 4 years None Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is a leading Alternate Asset Manager in India's top-tier private market funds. With a strategic focus on venture capital, venture debt, private equity, and private credit, Oister is at the forefront of powering India's Alternative era. Oister is looking for an Investment Analyst who will play a crucial role in the investment process, assisting in sourcing and evaluating potential investment opportunities, conducting in-depth due diligence, and supporting portfolio management activities. The ideal candidate will have strong financial & business acumen, excellent analytical skills, and a passion for private market investments. Profile description: Investment Research & Analysis: Conduct market research to identify industry trends, competitive landscapes, and potential investment opportunities in targeted sectors Analyze financial statements, business plans, and company performance to evaluate potential investments Prepare comprehensive investment memos and presentations for the investment committee Support ad-hoc analysis, reporting, and data requests from senior management and stakeholders Financial Modelling & Valuation: Develop and maintain complex financial models to assess investment opportunities and support decision-making Conduct valuations using various methodologies, including discounted cash flow (DCF), precedent transactions, and market comparable Due Diligence: Assist in the due diligence process including commercial, financial, legal, tax, HR, etc. Collaborate with external advisors, including DD vendors, legal, accounting, and industry experts, to gather relevant information and insights Maintain proper documentation, version control, and data hygiene for all investment and portfolio records Transaction documentation and closure Assist in review of legal documents along with legal team Oversee execution of transaction documentation with a legal team including SHA, SPA, CP, CS, etc. Oversee entire transaction closure process and formalities with relevant teams Assist in Business Development and Sales: Assist in partner DD processes and sales Collaborate in preparation of sales collateral including deck, FAQs, cashflow model, investment notes, etc. Respond to investor queries within the timelines committed Portfolio Management: Monitor and report on the performance of portfolio and keep the information updated for both the investment team and external stakeholders Prepare and manage periodic MIS, dashboards, and internal reports Respond to investor queries within the timelines committed Assist in periodic valuation process and other compliance and regulatory filings Deal Sourcing & Networking: Support deal sourcing efforts by identifying potential investment opportunities through industry research, networking, and attending conferences Build and maintain relationships with industry contacts, intermediaries, and entrepreneurs to generate deal flow Maintain detailed pipeline trackers and dashboards Candidate description: Bachelor's degree in Finance, Economics, Business, or a related field from tier 1 institute with demonstrated track record of academic excellence. An advanced degree (MBA, CA, CFA, CPA) is a plus 2-4 years of experience in investment banking, private equity, management consulting, or a related field Strong financial modelling, valuation, and analytical skills Excellent knowledge of venture capital / private equity industry trends and investment strategies Proficiency in Microsoft Excel, PowerPoint, and financial analysis software with ability to handle large datasets with accuracy Strong written and verbal communication skills High attention to detail, strong ownership mindset, and ability to meet strict timelines Ability to work independently and as part of a team in a fast-paced, dynamic environment Location: Gurgaon

Investment Associate (3-6) gurugram,haryana,india 3 - 6 years None Not disclosed On-site Full Time

Oister Global (www.oisterglobal.com) is a leading Alternate Asset Manager in India's top-tier private market funds. With a strategic focus on venture capital, venture debt, private equity, and private credit, Oister is at the forefront of powering India's Alternative era. Oister is looking for an Investment Associate who will play a crucial role in the investment process, assisting in sourcing and evaluating potential investment opportunities, leading in-depth due diligence, and portfolio management activities. The ideal candidate will have strong financial & business acumen, excellent analytical skills, and a passion for private market investments. Profile description: Investment Research & Analysis: Conduct market research to identify industry trends, competitive landscapes, and potential investment opportunities in targeted sectors Analyze financial statements, business plans, and company performance to evaluate potential investments Prepare comprehensive investment memos and presentations for the Investment Committee (IC). Lead the IC process including IC presentation and approvals. Support ad-hoc analysis, reporting, and data requests from senior management and stakeholders Financial Modelling & Valuation: Develop and maintain complex financial models to assess investment opportunities and support decision-making Conduct valuations using various methodologies, including discounted cash flow (DCF), precedent transactions, and market comparable Due Diligence: Lead the due diligence process including commercial, financial, legal, tax, HR, etc. Collaborate with external advisors, including DD vendors, legal, accounting, and industry experts, to gather relevant information and insights Maintain proper documentation, version control, and data hygiene for all investment and portfolio records Transaction documentation and closure Assist in review of legal documents along with legal team Oversee execution of transaction documentation with the legal team including SHA, SPA, CP, CS, etc. Oversee entire transaction closure process and formalities with relevant teams Assist in Business Development and Sales: Assist in partner DD processes and sales Collaborate in preparation of sales collateral including deck, FAQs, cashflow model, investment notes, etc. Respond to investor queries within the timelines committed Participate in sales pitches with ability to explain the product independently with sales team representation Portfolio Management: Monitor and report on the performance of portfolio and keep the information updated for both the investment team and external stakeholders Prepare and manage periodic MIS, dashboards, and internal reports Respond to investor queries within the timelines committed Assist in periodic valuation process and other compliance and regulatory filings Deal Sourcing & Networking: Support deal sourcing efforts by identifying potential investment opportunities through industry research, networking, and attending conferences Build and maintain relationships with industry contacts, intermediaries, and entrepreneurs to generate deal flow including active outreach. Maintain detailed pipeline trackers and dashboards Candidate description: MBA from tier 1 institute with demonstrated track record of academic excellence 3-6 years of experience in investment banking, private equity, management consulting, or a related field. Strong passion for investing and private markets ecosystem - Prior experience of investing in growth to late-stage private companies is preferred. Network among Indian PE/VC funds, Investment Banks, Entrepreneurs is highly valued. Strong financial modelling, valuation, and analytical skills Excellent knowledge of venture capital / private equity industry trends and investment strategies Proficiency in Microsoft Excel, PowerPoint, and financial analysis software with ability to handle large datasets with accuracy Strong written and verbal communication skills High attention to detail, strong ownership mindset, and ability to meet strict timelines Ability to work independently and as part of a team in a fast-paced, dynamic environment Location: Gurgaon