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Job Description:
International mutual fund seeks Equity Research Analyst (VP level) to cover general sectors in the US and Europe. The team focuses on high quality growth stocks in long-term, fundamental value-oriented investment. The position is located in New York City as a part of the global team located in different time zones.
Responsibilities
Conduct bottom-up research of equities on assigned industries
Develop and present new investment ideas
Monitor current investments to enhance risk adjusted returns for the portfolio
Monitor the latest news on the underlining stocks in the portfolio and evaluate the impacts on the stocks
Build and maintain complete company models, create income statement, balance sheet and cash flow forecasts and perform valuation analysis
Conduct on-site company visits and conference calls and meet the company managements frequently
Maintain good and frequent communication with the portfolio managers on industries and stocks in their portfolio
Requirements
Bachelor’s degree with a strong academic track record, MBA, CFA a Plus
3-7 Years of experience in Equity investment research, financial modeling and analysis in cross cultural, international work environment
Excellent analytical skills
Strong work ethics
Strong verbal and written communication skills
Proficiency in Excel and Bloomberg
Strong team orientation
IT (Software, Internet Services)/ Consumer Staple sector analyst experience is preferable, but not must
Working knowledge of accounting, finance, and valuation
Ability to multi-task and work with numerous teams
Benefits
Good benefit
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International mutual fund seeks Equity Research Analyst (VP level) to cover general sectors in the US and Europe. The team focuses on high quality growth stocks in long-term, fundamental value-oriented investment. The position is located in New York City as a part of the global team located in different time zones.
Responsibilities
Conduct bottom-up research of equities on assigned industries
Develop and present new investment ideas
Monitor current investments to enhance risk adjusted returns for the portfolio
Monitor the latest news on the underlining stocks in the portfolio and evaluate the impacts on the stocks
Build and maintain complete company models, create income statement, balance sheet and cash flow forecasts and perform valuation analysis
Conduct on-site company visits and conference calls and meet the company managements frequently
Maintain good and frequent communication with the portfolio managers on industries and stocks in their portfolio
Requirements
Bachelor’s degree with a strong academic track record, MBA, CFA a Plus
3-7 Years of experience in Equity investment research, financial modeling and analysis in cross cultural, international work environment
Excellent analytical skills
Strong work ethics
Strong verbal and written communication skills
Proficiency in Excel and Bloomberg
Strong team orientation
IT (Software, Internet Services)/ Consumer Staple sector analyst experience is preferable, but not must
Working knowledge of accounting, finance, and valuation
Ability to multi-task and work with numerous teams
Benefits
Good benefit
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