Analyze financial information and investment opportunities to support decision-making and portfolio management. Prepare clear reports, forecasts and recommendations for clients and internal stakeholders.
Number of Positions
1
Main Duties
- Perform quantitative and qualitative analysis of companies, industries and market trends to support investment decisions.
- Build and maintain financial models, valuations and scenario analyses to estimate returns and risks.
- Review and analyze financial statements, cash flows and key performance indicators.
- Monitor portfolio performance and produce regular performance and risk reports.
- Prepare written research reports, investment recommendations and presentation materials for stakeholders.
- Collaborate with portfolio managers, analysts and other teams to gather information and implement investment strategies.
Requirements
- Bachelor’s degree in finance, economics, accounting, business or a related field.
- Relevant experience analyzing financial statements and preparing valuations or investment research.
- Proficiency with spreadsheet modelling and familiarity with financial data platforms.
- Solid quantitative, analytical and problem‑solving abilities.
- Excellent written and verbal communication skills for report writing and presentations.
- Ability to manage multiple priorities, meet deadlines and maintain attention to detail.
Required Skills
- Financial modelling and valuation techniques
- Advanced spreadsheet skills (e.g., Excel) and experience with financial databases
- Financial statement analysis
- Quantitative analysis and risk assessment
- Report writing and presentation skills
- Attention to detail and time management
Benefits include competitive wages, supportive work environment, opportunities for growth, training support, and other employer‑specific benefits depending on the position and location.