Responsibilities
Regularly review company disclosures such as earnings reports, statutory filings, and investor presentation materials from firms listed on Japanese exchanges.
Extract key figures, performance metrics, and forward guidance from Japanese-language documents and record them precisely.
Refresh and maintain in-house financial spreadsheets and valuation models in Microsoft Excel with the most recent information.
Offer administrative and research-related support to analysts and portfolio managers as required.
Requirements
Language Ability: JLPT N1 proficiency (or equivalent) is mandatory, as the role involves interpreting corporate materials written exclusively in Japanese.
Technical Competence: Strong command of Excel, including the ability to manage complex spreadsheets, apply formulas, and perform efficient data entry.
Finance Knowledge: A solid grasp of accounting fundamentals and familiarity with income statements, balance sheets, and cash flow statements. You should understand how these elements connect within a financial model.
Experience: Ideally min 1 year of experience providing analytical or operational support to an equity research or investment team, either on the buy-side or sell-side.
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