Corporate Strategy Assistant Manager
1 week ago
Reporting To: VP, Strategy
Supervise: -
Purpose / Objective
The incumbent will be responsible for performing investment research, analyzing market trends, and providing critical data to assist in investment and strategic decision-making for the Management.
Job Responsibilities
Part 1 – Primary Roles (Measurable)
- Data Interpretation: Collate and interpret data, such as company financial statements, price developments, currency adjustments, and yield fluctuations. The information gathering also includes macro developments, such as following a country's political, economic, and climate changes, the impact of natural disasters, and emerging industries and service sectors.
- Financial Health Evaluation: Evaluate the financial health and growth potential of companies through balance sheets, income statements, and other financial documents.
- Modeling & Reporting: Create financial models and reports that convey complex information succinctly and accurately.
- Investment Analysis: Evaluate the risk and potential return of various investment assets or portfolios.
- Recommendations: Prepare and present investment recommendations to the Management.
Part 2 – Secondary Roles (Supportive)
- Support due diligence processes for potential acquisitions or investment opportunities.
- Keep up-to-date with the financial regulations and ensuring that all work meets them.
Job Competencies / Requirements
Qualification:
Bachelor's degree in Finance, Economics, Business Administration, or a related field.
CFA would be preferred.
Experience:
At least 3-5 years of demonstrable experience in investment analysis, financial modeling, financial analysis, portfolio management, or related roles.
Skills & Knowledge:
Strong research, analytical, and quantitative analysis skills with attention to detail.
- Strong understanding of financial markets, investment products, and economic principles.
- Proficiency in financial software, databases, and tools.
- Solid understanding of risk management principles and portfolio construction.
- Ability to analyze financial statements and develop valuation models for different asset classes.
- Strong management skills, leadership abilities, and motivation, with excellent business acumen.
- Ability to influence various levels of stakeholders.
Excellent written and verbal communication skills to clearly present investment research and financial insights to stakeholders and the Management.
Behavioral Traits:
Capable of working effectively and productively with team members.
- Flexibility and adaptability to rapid environmental changes.
- Autonomous and results-oriented, with a clear determination to succeed.
- Ability to work independently and within a team in a fast-paced environment.
- A proactive approach to learning and adapting to market changes.
If you are keen on this role, do apply via this link or reach out to bryant
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