Posted by
Posted in
Banking & Finance
Job Code
1722476

Qualification:
- Qualified MBA from Tier 1 / Tier 2 candidates are only eligible.
- Strong academic background with expertise in investments and financial analysis.
Role Overview:
We are looking for an AIF Investment Analyst to support the AIF Division team in identifying, evaluating, and monitoring investment opportunities across Alternative Investment Funds (AIFs). The role involves conducting in-depth financial analysis, valuation, due diligence, investment research, portfolio monitoring, and preparing investment recommendations for the Investment Committee.
Key Responsibilities:
- Conduct fundamental research and financial analysis of potential investment opportunities across listed and unlisted companies.
- Build and maintain detailed financial models, including forecasting, scenario analysis, sensitivity analysis, and valuation models (DCF, Comparable Companies, Transaction Multiples).
- Perform commercial, financial, and industry due diligence to assess investment viability and associated risks.
- Prepare investment notes, research reports, and Investment Committee (IC) presentations with clear investment recommendations.
- Evaluate company financial statements, business models, competitive positioning, and management quality.
- Track portfolio companies by reviewing quarterly financial performance, operational KPIs, industry developments, and valuation updates.
- Monitor macroeconomic trends, sector developments, regulatory changes, and market movements impacting investments.
- Participate in management meetings, earnings calls, channel checks, and industry interactions to strengthen investment conviction.
- Support transaction execution by coordinating with legal, compliance, and external advisors during investment and exit processes.
- Assist in portfolio valuation, performance reporting, and investor reporting activities.
- Maintain investment databases, financial models, and research documentation.
Key Skills Required:
- Fundamental Equity Research
- Financial Modelling & Forecasting
- Company Valuation (DCF, Trading Comparables, Transaction Multiples)
- Investment Research
- Due Diligence
- Financial Statement Analysis
- Portfolio Monitoring
- Investment Memo Preparation
- Industry & Competitive Analysis
- Risk Assessment
- Advanced MS Excel & PowerPoint
- Bloomberg, Capital IQ, FactSet, PitchBook, Refinitiv (preferred)
Preferred Industry Background:
Candidates from:
- Alternative Investment Funds (AIF)
- Asset Management Companies (AMC)
- Portfolio Management Services (PMS)
Preferred Candidate Profile:
- Experience in evaluating investment opportunities across public and/or private markets.
- Strong understanding of financial statements, valuation methodologies, and investment frameworks.
- Ability to prepare investment theses and present recommendations to senior investment professionals.
- Excellent analytical, problem-solving, and communication skills.
- High attention to detail with the ability to work in a fast-paced investment environment.
Key Performance Indicators (KPIs):
- Quality and accuracy of financial models and valuation outputs.
- Timely completion of investment research and due diligence.
- Quality of investment recommendations and IC presentations.
- Portfolio monitoring accuracy and reporting timelines.
- Research productivity and turnaround time.
- Contribution to successful investment decisions and portfolio performance.
- Quality of industry research and investment insights.
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Posted by
Posted in
Banking & Finance
Job Code
1722476