➢ Develop and implement an investment strategy consistent with the CN’s investment policy ➢ Provide discretionary portfolio management ➢ Recommend strategic and tactical asset allocations ➢ Perform manager due diligence and selection ➢ Arrange introductions to relevant general partner relationships operating in target sectors for potential direct investment opportunities ➢ Facilitate knowledge transfer of private markets underwriting, investment pacing, and capital markets research ➢ Provide transparency and look-through access to LPAC governance and decision-making processes ➢ Ensure compliance with investment policy guidelines ➢ Monitor risk, performance, and adherence to CN values ➢ Provide quarterly reporting and attend periodic meetings with the CN ➢ Coordinate with CN representatives, custodians, consultants, and legal advisors as needed ➢ Maintain compliance with the established liquidity budget