Job Description:Support portfolio managers in analyzing, monitoring, and optimizing investment portfolios.Conduct financial modeling, valuation, and performance analysis of various asset classes.Prepare investment reports, presentations, and recommendations for internal review.Research market trends, macroeconomic data, and sector performance to identify opportunities and risks.Assist in developing investment strategies and risk management frameworks.Maintain accurate records of portfolio activities and ensure compliance with internal policies.Requirements:Bachelor's or Master's degree in Finance, Economics, Accounting, or related field.Strong analytical, quantitative, and Excel modeling skills.Knowledge of financial markets, investment products, and asset management principles.Excellent attention to detail, communication, and organizational abilities.Proficiency with Bloomberg, Power BI, or similar analytical tools is a plus.Benefits:Competitive salary and performance-based incentives.Exposure to diverse asset classes and investment strategies.Professional growth and certification support (e.g., CFA).Collaborative and data-driven work culture.