Overview

Job Title: Equity Analyst – PMS

Location: Mumbai, India

Job type: Full-time

Department: Portfolio Management Services

Reporting To: Head – PMS

Key Responsibilities:

– Conduct in-depth fundamental research on listed companies across various sectors and market caps, focusing on financial performance, competitive positioning, and industry dynamics.

– Build and maintain detailed financial models to project future earnings and assess valuation metrics.

– Generate stock recommendations and prepare comprehensive research reports and presentations.

– Assist in constructing and management of equity portfolios, ensuring alignment with investment objectives and risk parameters.

– Ensure the portfolios are compliant with all internal mandates and regulatory guidelines.

– Monitor and evaluate portfolio performance, provide recommendations for portfolio adjustments based on research findings and market conditions.

– Work closely with the portfolio management, compliance, operations, and client servicing teams to ensure seamless execution of investment strategies.

– Prepare weekly/monthly/quarterly reports and presentations on portfolio performance and market outlook for internal stakeholders and clients

Candidate Requirements:

Education: CA / CFA / MBA (Finance) / Postgraduate in Finance

Experience: 3-7 years of experience in equity markets as a research analyst ideally in a PMS, asset management firm or a broking house

Proven track record of providing valuable investment insights and generating equity recommendations

Experience in handling mid-cap and small-cap stocks is desirable

Skills & Attributes:

Strong knowledge of financial statement analysis, financial modelling, and equity valuation techniques (DCF, P/E, P/B, etc.).

Knowledge of sector-specific trends, market indicators, and economic data influencing equity markets.

Excellent communication and presentation skills to effectively convey research findings and recommendations.

Detail-oriented and self-motivated with a passion for equity markets.

Knowledge of the regulatory environment (SEBI, stock exchanges, etc.).

Proficiency in financial tools such as Bloomberg, Capitaline, or similar, along with advanced Excel skills.