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Perform detailed financial analysis on prospective and current investment opportunities, including preparation and ongoing maintenance of detailed financial models, valuations and sector-wide company comparisons
Track, analyse, interpret and present macro-economic, sector specific and company specific data to support the investment decision-making process
Carry out detailed financial analysis using a combination of in-house proprietary research and external 3rd party sources such as analyst reports, company reports and discussions with management, suppliers or consultants
Support the portfolio managers in screening, researching, analysing, and monitoring prospective and current investment opportunities
Produce and update investment memoranda and presentations for both internal and external use
Attend industry conferences, management meetings and liaise with company IR teams as required
Pro-actively solve problems and seek new ways to support the investment process
Where appropriate, candidates should be willing to take on early responsibility and ownership of tasks given to them
Successful candidates will be expected to begin working towards relevant professional qualifications (CFA/ACA/CAIA etc.) in their first year of work
Skills & Experience
Undergraduate degree from a top university (non-quantitative subjects must be able to demonstrate strong numerical ability)
Excellent English and communication skills (written & verbal). Fluency in another European language desirable but not essential.
Strong quantitative skills
Strong analytic and research ability
Problem solver/lateral thinker
Comfortable performing data analysis and working with spreadsheets
Proven self-starter with ability to work autonomously and in a team
Less than 3 years experience. Internships or relevant industry experience desirable