Key responsibilities-
- Building and maintaining detailed financial models including revenue and cash-flow projections, segment analysis, valuations, and scenario analysis
- Financial and accounting statement analysis, top down macroeconomic analysis, bottom up research
- Conducting valuations including DCF, relative valuations, SOTP, NAV, etc.
- Writing reports and articles, and preparing presentations on company analysis and industry research
- Track and report news/events/macro developments/market data on coverage names or as required
- Understanding and summarizing target companies- business model and strategy, industry scenario and key risks to enable the client develop broader understanding in quick time
Required Background
- MBA from a top tier school / CFA / Chartered Accountant OR Equivalent with 3+ years of relevant work experience
- Desirable hands on equity research experience in Banking Secotr
- Excellent financial modelling skills
- Experience in client relationship building and management
- Excellent oral and written communication skills
- Ability to work effectively under tight deadlines, flexibility during earnings season
- Knowledge of full breadth of public data, research, and analytic resources. Experience in using Bloomberg database
- Team players who must show the willingness to work with cross functional teams across many time zones
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