Job Description / Key Responsibilities:
1) Responsible for Portfolio Management of the Group
2) Responsible for Financial Modeling, Analysis of Financial Statements, Risk Analysis & Management.
3) Sound knowledge of key parameters like-CAGR, IRR, Yield, BETA, ALFA etc.
4) Sound knowledge of Share Markets, Mutual Funds, AIFs, Long Short Funds etc.
5) Sound knowledge of Stock, Derivative, Currency Market, Pre-IPO, Valuation, PE, etc.
6) Updating and forecasting capital markets, equity research analysis
7) Computer Savvy and high proficiency in excel.
8) Ability to work creatively and analytically in a problem-solving environment.
9) Excellent communication and presentation skills.
10) Contributing to a team-oriented environment.
11) Excellent analytical and decision-making skills.
12) Ability to critically assess investment opportunities and risks.
13) Proven track record in developing successful investment strategies and achieving financial goals.
14) Strong leadership and team management abilities.
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