Financial Analysis: Conduct in-depth financial analysis of various asset classes, including stocks, bonds, and alternative investments.
Assist in the evaluation of investment opportunities, market trends, and risk assessments.
Data Research: Gather and analyze financial data, economic indicators, and market reports. Utilize financial tools and software to support investment decision-making processes.
Portfolio Management: Assist in the construction and management of investment portfolios. Help monitor and rebalance portfolios to align with investment objectives and risk tolerance.
Report Generation: Prepare reports and presentations for internal stakeholders, summarizing investment strategies, performance, and recommendations. Communicate findings effectively to team members and management.
Market Monitoring: Stay up-to-date with global financial markets, industry news, and regulatory changes. Provide insights into how these factors may impact investment decisions.
Risk Assessment: Participate in risk assessment and management processes. Contribute to the development of risk mitigation strategies and compliance with regulatory requirements.
Learning and Development: Continuously expand your knowledge of investment principles, financial modeling, and industry best practices. Participate in training sessions and mentorship opportunities.
Ad-Hoc Projects: Contribute to ad-hoc projects related to investment research, asset allocation, and process improvement initiatives within the asset management team.
Compliance and Ethics: Adhere to ethical standards and compliance regulations in the financial industry. Ensure that all activities are conducted with the highest level of integrity and professionalism.
Sign-ups will be contacted individually, interviews will be held between
End April-Mid May 2024!
With a Graduation party after!
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