–representing a fund / company in its joint venture or investment.
– monitoring the various metrics as required and refining the strategy of the business.
– negotiating with vendors, lenders for the JV and amongst partners (if required) on behalf of the company / fund
– finding an exit for the company / fund from the investment / JV at an appropriate time. this would include all the steps including identifying a purchaser, structuring, diligence and documentation
– providing additional bandwidth depending on need / timing for a fund as its expands its investing base.