We are seeking a
mid-career Financial Analyst
(3-5 years of experience) to provide in-depth research and analysis on listed equities, bonds, Sukuk, ETFs, and derivatives, supporting investment decisions for corporate portfolios.
Key Responsibilities:
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Conduct fundamental and technical analysis of equities, fixed income securities, and derivative instruments
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Build and maintain detailed financial models, valuation scenarios (DCF, multiples, yield analysis), and performance tracking
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Monitor market trends, macroeconomic indicators, company earnings, and sector developments in Saudi Arabia and the GCC
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Prepare insightful research reports, investment recommendations, and presentations for portfolio managers and clients
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Support trading strategies, risk assessment, and portfolio optimization
Qualifications and Skills:
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Bachelor’s degree in Finance, Economics, Accounting, or related field (CFA/FRM preferred or in progress)
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3-5 years of experience in equity/fixed income research, sell-side/buy-side analysis, asset management, or investment banking
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Strong proficiency in financial modeling (Excel), Bloomberg, Refinitiv Eikon, or similar platforms
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Solid understanding of stock market instruments, including equities, bonds, Sukuk, options, and futures
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Excellent analytical, research, and written/oral communication skills
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Knowledge of Saudi/GCC capital markets and regulations (CMA) is a strong advantage; fluency in English and Arabic is required
Why Join Us?
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Gain front-row exposure to the transformation of the Saudi capital market, including new listings, international investor inflows, and innovative financial products under Vision 2030
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Competitive compensation package with base salary and comprehensive benefits
Continuous professional development in a collaborative, international environment