MAIN JOB RESPONSIBILITIES
- Responsible for bottom-up fundamental analysis and due diligence of companies and industries in order to make investment recommendations.
- Strong analytical skills with the ability to form an independent opinion.
- High degree of proficiency with understanding and analyzing financial statements.
- Monitor sector, market and economic conditions and assess their impact on portfolios.
- Conduct ongoing due diligence and monitoring of portfolio companies.
- Communicate investment ideas effectively and prepare presentation materials for investment committee meetings.
QUALIFICATION & SKILLS REQUIRED
- Bachelor degree in a related field.
- Additional professional certifications (e.g. CFA) would be a plus.
- 3-5 years of experience in the finance or investment industry, preferably in asset and wealth management.
- Strong knowledge of investing and financial markets, particularly in the equity asset class.
- Previous experience with developed markets equities and derivatives would be an advantage
- High level of attention to details.
- Excellent written and verbal communication skills.
- Strong knowledge of Microsoft Excel and Bloomberg.
- Self-motivated, driven, and positive individual with a strong work ethic.
- Strong team player and able to work independently with minimum supervision.