Title: Research Analyst
Company Name: A Reputed Group of Company
Vacancy: --
Age: 25 to 30 years
Location: Dhaka (Gulshan)
Maximum Salary: Negotiable
Experience:
∎ 2 to 4 years
∎ The applicants should have experience in the following business area(s):Banks, Investment/Merchant Banking, Share Brokerage/ Securities House
Published: 30 Oct 2024
Requirements:
Additional Requirements:
∎ Age 25 to 30 years
∎ Bachelor's degree in finance, economics, or a related field (Master’s degree preferred).
∎ Experience in financial analysis, investment research, or a related field.
∎ Strong knowledge of financial markets, securities, and macroeconomic indicators.
∎ Proficiency in financial modeling, analysis tools, and software (e.g., Excel).
∎ Excellent written and verbal communication skills to present findings clearly.
∎ Strong analytical skills with the ability to process large datasets and identify actionable insights.
∎ Passion for the financial markets and a deep interest in research and analysis.
∎ Fluent Proficiency in Bangla and English
∎ Bachelor's degree in finance, economics, or a related field (Master’s degree preferred).
∎ Experience in financial analysis, investment research, or a related field.
∎ Strong knowledge of financial markets, securities, and macroeconomic indicators.
∎ Proficiency in financial modeling, analysis tools, and software (e.g., Excel).
∎ Excellent written and verbal communication skills to present findings clearly.
∎ Strong analytical skills with the ability to process large datasets and identify actionable insights.
∎ Passion for the financial markets and a deep interest in research and analysis.
∎ Fluent Proficiency in Bangla and English
Responsibilities & Context:
∎ Market Research & Analysis: Conduct in-depth research on financial markets, industries, and companies to identify trends, opportunities, and risks.
∎ Securities Analysis: Analyze stocks, bonds, and other securities using fundamental and technical analysis, providing insights and recommendations to the portfolio management team.
∎ Report Preparation: Create detailed research reports, financial models, and presentations to support investment strategies.
∎ Monitoring Market Trends: Stay up-to-date with macroeconomic trends, market developments, and sector-specific news that could impact investment decisions.
∎ Data Gathering & Interpretation: Use various financial tools and databases to collect and interpret relevant data for making informed recommendations.
∎ Collaboration with Portfolio Managers: Work closely with Portfolio Managers to provide research support for portfolio construction, asset allocation, and investment decisions.
∎ Investment Strategy Support: Contribute to the development of investment strategies by identifying trends and providing data-driven insights.
∎ Accuracy and thoroughness of research and analysis.
∎ Timeliness of research reports in supporting portfolio managers’ decisions.
∎ Effectiveness of recommendations in influencing investment outcomes.
∎ Ability to stay informed and anticipate market movements and trends.
∎ Managing multiple research requests and tight deadlines.
∎ Interpreting complex financial data and presenting it in a clear and actionable way.
∎ Staying ahead of market trends in a fast-paced environment.
∎ Collaborating effectively with portfolio managers and team members to provide insights under time constraints.
∎ Context:
∎ We are seeking a highly motivated and analytical Research Analyst to provide in-depth financial market research and support portfolio management decisions. The ideal candidate will be passionate about the financial markets, have a keen eye for detail, and excel at analyzing large sets of data to identify trends and opportunities.
∎ Key Responsibilities:
∎ Market Research & Analysis: Conduct in-depth research on financial markets, industries, and companies to identify trends, opportunities, and risks.
∎ Securities Analysis: Analyze stocks, bonds, and other securities using fundamental and technical analysis, providing insights and recommendations to the portfolio management team.
∎ Report Preparation: Create detailed research reports, financial models, and presentations to support investment strategies.
∎ Monitoring Market Trends: Stay up-to-date with macroeconomic trends, market developments, and sector-specific news that could impact investment decisions.
∎ Data Gathering & Interpretation: Use various financial tools and databases to collect and interpret relevant data for making informed recommendations.
∎ Collaboration with Portfolio Managers: Work closely with Portfolio Managers to provide research support for portfolio construction, asset allocation, and investment decisions.
∎ Investment Strategy Support: Contribute to the development of investment strategies by identifying trends and providing data-driven insights.
∎ Key Performance Indicators (KPIs):
∎ Accuracy and thoroughness of research and analysis.
∎ Timeliness of research reports in supporting portfolio managers’ decisions.
∎ Effectiveness of recommendations in influencing investment outcomes.
∎ Ability to stay informed and anticipate market movements and trends.
∎ Challenges:
∎ Managing multiple research requests and tight deadlines.
∎ Interpreting complex financial data and presenting it in a clear and actionable way.
∎ Staying ahead of market trends in a fast-paced environment.
∎ Collaborating effectively with portfolio managers and team members to provide insights under time constraints.
Workplace:
∎ Work at office
Employment Status: Full Time
Job Location: Dhaka (Gulshan)
Read Before Apply: If you are passionate about financial markets, love digging deep into research, and are excited to play a key role in supporting investment decisions, we would love to hear from you.
Company Information:
∎ A Reputed Group of Company
Application Deadline: 15 Nov 2024
Category: Bank/Non-Bank Fin. Institution