Overview

Key Responsibilities

– Collaborate with front office teams to iterate on financial models and investments

– Track news flows, sell-side research views, and company results

– Develop detailed financial models and prepare investment write-ups/presentations

– Conduct in-depth benchmarking and sensitivity analyses

– Attend management, sell-side, and sector expert calls

Requirements :

– Master’s degree in Finance or CFA with 3-5 years of equity research experience in Banking and Financial Institutions, with a focus on Europe and/or US regions

– Excellent financial modeling and accounting skills

– Working knowledge of Banking industry, geography-specific regulations, and Basel Norms

– Strong written and verbal communication skills

– Solid understanding of equity markets, fundamental analysis, and valuations

– Exceptional analytical skills, attention to detail, and self-motivation

This role requires a highly skilled professional with a strong background in finance and equity research. If you’re a motivated individual with excellent analytical skills and a passion for financial research, this might be an ideal opportunity for you.