Regular execution of the team’s proprietary investment models and reporting on the model’s results
Conduct primary market and industry research and perform big data analytics
Assist in reviewing risk and exposure for portfolio/asset management function – liquidity analysis, sensitivity analysis, performance tracking
Take responsibility for the execution of deals (either buying or selling assets), leading on building financial models, conducting commercial due diligence, valuations, and preparing pitch decks and information memorandums.
Preparing financial models and cash flow projections
Support with origination efforts through conducting market and industry analysis to generate investment ideas and recommendations.
Support stakeholders of the business with portfolio management, including regularly liaising with senior management of portfolio companies as well as developing and implementing strategy and operational improvements.
Conduct portfolio analysis and provide regular updates and recommendations to senior management.
Delivery of model documentation and testing material
Regular execution and monitoring of proprietary investment model
Improving and maintaining existing analytics
Provide day-to-day support for relevant business units
Requirements
1-3 years experience in Investment Banking, Private Equity, or Public Investing
Undergraduate degree
Applicants fresh out of universities are welcome to apply
Intellectual maturity, exceptional attention to detail, and the ability to manage multiple projects and deadlines in a fast-paced environment
A gritty work ethic and a ceaseless desire for continuous learning
Strong in financial modeling, communication, and technical skills
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