The successful candidate should have modelling experience and working knowledge of accounting and finance coupled with a keen interest and passion for investing. Working alongside experienced investors on our global platform will help you learn the necessary skills to develop into a successful investor.
Models corporate financial statements into the future (minimum of 5 years) to assess potential company earnings and cash flow.
Evaluates corporate financial statement outputs to assess the worth of the company using multiple techniques such as discounted cash flow analysis, price-to-earnings ratio and price-to-cash flow ratios.
Participates in conference calls to review companies' interim results and quickly assimilates the information to assist the Analysts in their investment decisions.
Attends company investor days, investment conferences, and field trips, and reports key findings.
Handles various projects such as supply chain analysis, proprietary surveys, managing stock valuation lists for possible buys/sells, and quantitative screening of companies which in turn provides information to Analysts that help make them more effective buy/sell decisions.
PERSONAL ATTRIBUTES / SKILLS / QUALIFICATIONS
Strong and demonstrable financial analysis experience including accounting & financial modelling skills
Minimum of 2 years relevant experience (buy-side, sell-side, M&A banking, private equity)
Strong interest and knowledge of financial markets, especially public equities
Candidate should be highly motivated, with strong communication and interpersonal skills
Personal and/or professional investment experience
Experience with market data services (ex. Factset, Bloomberg etc.)