Job Summary
The successful candidate will be responsible for analyzing financial markets, evaluating investment opportunities, and providing data-driven insights to support investment decisions. Their key responsibilities typically include:
Job Description
Analyse financial information relating to specific companies, e.g. company results, profit and loss, balance sheet and cash flow statements to determine how the organisation is positioned as a potential investment site
Keep up to date with market developments, new investment products and all other areas that can affect the markets.
Monitor daily financial news using specialist media sources
Prepare weekly research report (market review) for Management Investment Committee (MIC)
Prepare Investment appraisal memo for fixed income instruments
Prepare weekly equities portfolio performance report for the funds under management
Update stock database with unaudited and unaudited results
Responsible for the weekly preparation of equity performance report
Carry out research into the money and capital market for an investment opportunity
Keep and maintain records of useful statistics from CBN, FMDQ, NSE, SEC, PENCOM etc for optimal investment decisions
Person Specification and Skills
Minimum of Second-Class Upper Division or HND (upper Credit) in any of the following numerate courses: Economics, Actuarial Science, Mathematics/statistics, Accounting, Finance, Insurance, Business Administration with 3-5 years experience
Progress in any of these professional examinations ACA, ACCA, ACS, ACIP and CFA will be an added advantage
Ability to analyze market trends, economic indicators, and industry performance
Experience in using financial databases like Bloomberg etc.
Understanding of asset allocation, risk management, and diversification.
Experience with big data analytics to enhance investment decision-making.
Interested and qualified candidates should send thier CV to: jobs@hrwitltd.com using the role applying for as the subject of the email.
Apply via :
jobs@hrwitltd.com