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Job Responsibilities:
Conduct in-depth research on various asset classes, industries, and markets to identify investment opportunities and risks.
Analyze economic and financial data, as well as company-specific information, to make informed investment recommendations.
Stay updated on macroeconomic trends, geopolitical events, and regulatory changes that may impact investment strategies.
Assist in the day-to-day management of investment portfolios, including trade execution, portfolio rebalancing, and performance analysis.
Collaborate with portfolio managers to develop and implement investment strategies that align with client objectives.
Monitor portfolio positions and assess their performance relative to benchmarks and targets.
Evaluate portfolio risk factors and participate in the development of risk mitigation strategies.
Assist in stress testing and scenario analysis to assess the potential impact of adverse market conditions.
Ensure compliance with all relevant regulatory requirements and internal policies.
Support the compliance team in preparing documentation for regulatory audits and reporting
Requirements:
Bachelor's degree in finance, economics, or a related field; advanced degrees (e.g., MBA, CFA) are a plus.
Strong analytical skills and proficiency in financial modeling and data analysis.
Knowledge of financial markets, investment principles, and portfolio management.
Excellent communication skills, both written and verbal.
Detail-oriented with a high level of accuracy.
Ability to work effectively in a fast-paced and dynamic environment.
Proficiency in Microsoft Excel, PowerPoint, and other relevant software tools.
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