Job Description:
- Candidates will be required to initiate coverage and develop detailed research reports and at a given point be expected to track multiple companies
- Candidates must gain in depth knowledge of a few sectors and identify bottom up opportunities within these sectors
- Candidates must be well versed with different valuation techniques, financial modeling and developing integrated cash flow models
- Candidates should have strong written and verbal communication skills with specific ability to communicate concepts and ideas concisely and defend their validity
- Candidates should be highly organized, detailed oriented, proactive, and be comfortable working in a collaborative team environment
- Candidates should have the ability to comfortably interact with clients in a professional and mature manner
- Candidates should be proficient with Microsoft Excel, Capital IQ and Bloomberg Terminal
- Travel may be required for meeting management of companies
- Analyze data to identify emerging opportunities and risks, justifying your reasoning.
- Provide BUY/SELL/HOLD recommendations and present findings to the investment committee.
- Interact with institutional investors, communicating investment research and responding to requests for models and ad-hoc analysis.
- Maintain constant coverage of industry-related news, trends, and developments. Disseminate your insight when appropriate to internal and external stakeholders.
- Build relationships with investor relations teams of your portfolio companies.
- Devise and perform your own primary research methods, keeping abreast of trends and sentiment in the market.
- Liaise with internal sales and trading teams for responding to news, corporate action, and reporting events. You will be expected to maintain a procedure protocol for escalating emerging news.
- Maintain a public image for the firm at conferences/events. Communicate the company's research, building its brand and referring potential new clients.
Skills and Qualifications
Commercial / Technical Education Qualification:
- Candidates should have 4-6 years of past equity research experience ( tire 2 Brokerage)
- Stability in terms of employment with previous employer ( minimum 1-2 years)
- Profound understanding of equity markets on a global level. In addition, a deep understanding of fundamental analysis, financial modeling, asset allocation, and strategy research
- Advanced Excel proficiency. 4+ years of practical experience of using Excel for building and maintaining financial models
- Excellent written and verbal communication skills. Proficiency for presenting and debating a point under pressure
Salary offered; 7 - 10 LPA
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