About us: Soar is a global fintech startup that specializes in financing and investment.
Currently headquartered in Saudi Arabia, Soar is growing throughout the region with a mission to help people achieve their financial goals with innovative financial and property investment solutions and tools through its multi-purpose platform, designed to offer a simple and seamless user experience.
Role Summary: Investment Product (Supply-Side) —JD We are seeking a Head of Investment Product to lead the supply-side growth of our platform and scale our investor marketplace.
You will own the commercial success of the Investment Portal—building the product that attracts capital, optimizes deployment into mortgage assets, and delivers a world-class investor experience.
This is a senior, hands-on role at the intersection of Product, Capital Markets, Treasury, and Growth.
You will translate investment strategy into scalable digital products that drive liquidity, investor retention, and revenue expansion.
Key Responsibilities: 1.
Investment Product Strategy & Business Growth - Own the end-to-end vision for the Investment Portal (Web & Mobile).
- Define the product roadmap to support capital inflows, faster deployment, higher retention, and increased platform revenue.
- Build scalable digital investment offerings (SPVs, Sukuk-like structures, fractional portfolios).
2. Capital Allocation & Marketplace Efficiency - Lead the design of the Allocation Engine matching investor capital with mortgage demand.
- Ensure yield, IRR, and distribution calculations are fully accurate and competitive.
- Optimize allocation rules balancing returns, risk appetite, and funding efficiency.
3. Investor Experience & Trust at Scale - Own the full investor journey with premium transparency.
- Design dashboards covering deployed vs unallocated capital, realized/unrealized returns, and portfolio risk.
- Automate investor communications, statements, and Zakat/tax reporting where applicable.
4. Product Execution & Cross-Functional Leadership - Act as the product bridge between Investment Committee, Treasury, Risk, Compliance, and Engineering.
- Translate workflows into PRDs, epics, user stories, and acceptance criteria.
- Ensure execution quality, speed, and financial precision.
5. Regulatory & Market Readiness (KSA/GCC) - Ensure alignment with CMA and SAMA requirements.
- Integrate KYC/AML processes (Wathq, Absher, UBO validation).
- Build investor-ready governance and disclosure standards.
6. Funding Structures & Capital Markets Translation Familiarity with: - Warehouse and leverage facilities - Sukuk and securitized issuance - Mortgage investment funds - Syndicated and revolving credit lines - Co-investment structures with PE/institutional funds - Vision 2030 / REDF-supported programs Requirements: - 10+ years in Product Management, including 3+ years in FinTech/WealthTech/Investment Platforms - Strong understanding of private credit, lending portfolios, and institutional investment flows - Comfort with APIs, data models, and financial calculations - Experience with Saudi/GCC regulatory environments preferred