Job Summary
Our client, a leading international investment banking firm, is seeking a highly skilled Research Manager to join their dynamic team. The ideal candidate will possess a deep understanding of international and domestic economies, financial systems, and investment analysis.
Job Details
Coordinate Periodic Economic and Analytical Research on Financial Assets: Equities, Fixed Income, Derivatives, Exchange Traded Funds, Mutual Funds, Bonds, Real Estate, etc. including the supervision and training of Junior Analysts.
Develop and oversee the implementation of daily, weekly, monthly, quarterly and annual curriculum for Research Insights production and distribution.
Advise and provide Market Intelligence to group’s clients including periodic investment recommendations.
Facilitating and organizing webinars and presentations to HNIs and institutional clients.
Ensuring the safe custody and update of the Research database and time to time servicing of the financial models.
Providing research support for client relationship officers and business development departments of the group Strategic Business Units (SBUs) – GTI Securities GTI Trading, GTI MFB, GTI Asset Management.
Provide research insights to advice on the potential and benefit of investing in fresh Strategic investment opportunities.
Carrying out research on general economic dynamics and sectional/industry report and advising the various SBUs on implications, benefits and opportunities.
Idea generation for periodic flash notes on the economy and financial market as the need arises.
Providing research support to the development and implementation of the company’s strategic and operational plans with research intelligence on industry trends and market dynamics.
Preparing quarterly flash notes on company’s quarterly releases and reviewing valuation models and assumptions as at when due.
Comprehensive analytical review, forecast of financial statements, creating financial models using electronic spreadsheet and training new Analysts on valuation and financial models.
Participation in the writing, vetting, quality control and presentation of all reports within the team.
Requirements
High numeracy and outstanding of financial analysis and modelling skills Sound
knowledge of financial modelling, valuation methodologies – including Discounted Cash Flow (DCF) valuation, Dividend Discount Model (DDM), Residual Income Model (RIM), Relative Valuation Multiples etc.
Very strong knowledge of the fixed income market dynamics and valuation as well as factors driving yield and price movements
Strong technical economics skills, specifically in relation to quantitative and statistical analysis.
Ability to analyse and draw reasonable inferences from the analyses of financial and economic data
Sound experience in preparing flagship reports including sector reports, strategic tailor-made research reports and Annual Economic and Financial Market Outlook report amongst others.
Ability to present research findings and/or viewpoints in an articulate and intelligent manner to varying stakeholders including clients, senior management and the Board
Strong communication skills, business writing skills and presentation skills
Stout entrepreneurial work ethics, leadership and people management skills
Ability to work independently and motivate other team members to deliver superlative result irrespective of the time or resource constraints
Apply via :
andersen.seamlesshiring.com