Posted By
Posted in
Banking & Finance
Job Code
1617951

- Conduct in-depth fundamental research and financial analysis of listed companies across sectors
- Build and maintain detailed financial models, valuation models (DCF, relative valuation, etc.), and industry trackers
- Identify and evaluate investment opportunities for the AIF/PMS portfolios
- Prepare detailed investment memos and research reports for internal discussion and client communication
- Track macroeconomic trends, sectoral developments, and company-specific news impacting portfolio holdings
- Assist in portfolio monitoring, performance attribution, and risk analysis
- Interact with company management, industry experts, and other stakeholders as part of the research process
- Support the investment team in idea generation and portfolio construction
Key Requirements:
- 2-5 years of experience in equity research, investment analysis, or portfolio management (Buy-side or Sell-side)
- Strong academic background - CA / MBA (Finance) / CFA (preferred)
- Proven ability to analyze financial statements, build financial models, and write high-quality research reports
- Excellent Excel and PowerPoint skills; experience with Bloomberg, Reuters, or similar tools is a plus
- Strong communication skills - both verbal and written
- Passion for investing and a demonstrated interest in capital markets
- Self-driven, detail-oriented, and capable of working independently in a fast-paced environment
Preferred Qualities:
- Prior experience working in AIF, PMS, or asset management setups
- A sector-agnostic mindset with the ability to switch between industries and spot opportunities based on merit
- Ability to work collaboratively with a small but focused investment team
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1617951