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.