Posted By
Posted in
Banking & Finance
Job Code
140408
Role:
- Prepare financial models and write reports commenting on the financial performance of the company; design and develop dynamic MS Excel spreadsheet-based models that forecast the financial information of company over a fixed period of time in order to optimize profitability, aid in scenario analysis for making investment decision
- Working on Industry / company research, market saturation study, industry bench-marking and trend analysis among others
Candidate should possess:
- Strong accounting knowledge and a thorough understanding of financial statements; analysis of financial statements and identifying the reasons for change in trend of key financials including profitability, liquidity and gearing ratios
- Detailed understanding of capital structure and liquidity analysis; Understanding of different valuation methods (DCF, Relative, SOTP etc)
- Working knowledge of the financial databases such as Bloomberg, Thomson, Capital IQ etc.
- Strong secondary research capabilities
- Excellent oral and verbal communication
- Ability to handle pressure
Key Accountabilities:
- Will be responsible for direct interaction with the client
- Ability to train and mentor junior analysts
- Responsible for delivering 100% quality to the client directly
- Meeting strict deadlines
- Ability to work individually and in the team
Special Role Requirements:
- Excellent MS excel knowledge
- Strong financial domain knowledge
- Good secondary research skills
Service Agreement - 2 Years
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Posted By
Posted in
Banking & Finance
Job Code
140408