We are looking for a resourceful candidate to join our Financial Research group based out of the firm's office in Hyderabad, India. This team works closely with front office groups to provide high-quality and in-depth support to the investment research and decision processes of the Firm's global proprietary trading strategies.
- The candidate will work with portfolio managers and analysts on the firm's credit investment teams.
Primary responsibilities include :
- Providing macro-economic analysis for EM sovereign credits;
- Supporting detailed modelling of company financials and restructuring scenarios;
- Completing valuation, operational, peer group, and sensitivity analysis;
- Developing and maintaining financial models;
- Contacting front office groups to iterate on financial models and investment theses;
- Attending management/intermediary/conference calls and reviewing data room documents
The ideal candidate should have an MBA in Finance or equivalent qualifications with 5-10 years of domain experience in sovereign and corporate credits in Eastern Europe/MENA/LatAm. Strong skill sets in macro-economic analysis for EM sovereign credits, financial modeling, and valuation are necessary for the role. A keen eye for detail along with excellent interpersonal and communication skills is essential. Prior exposure to EM sovereign, high Yield, stressed, and distressed credits will be an added advantage.
The Firm offers excellent benefits, a casual, collegial working environment, and an attractive compensation package.
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