About the Company:
Our Switzerland-based asset management firm specializes in transactions in fixed-income securities, stock markets, forex markets, and derivative instruments. To support our growing operations, we are looking for a dynamic and experienced team member to join our office in Turkey, combining expertise in financial analysis.
Position: Financial Markets Analyst
Key Responsibilities:
Financial Analysis & Investment Management:
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Analyze and manage transactions in fixed-income securities, equity markets, forex, and derivative products.
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Monitor international financial markets and evaluate investment opportunities.
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Contribute to the development and implementation of portfolio and investment strategies.
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Conduct risk management assessments and propose mitigation strategies.
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Prepare financial performance reports and investment analyses.
Qualifications:
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Bachelor’s degree in Business Administration, Finance, Econometrics, Mathematics
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(Master’s degree is a plus).Applied Mathematics, Economics, Mathematics, Statistics, Financial Mathematics, or a related field
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Business Administration graduates must have completed coursework in finance, investment, or financial mathematics.
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Hands-on experience with fixed-income, equity, forex, and derivative markets.
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Deep understanding of international financial markets and instruments.
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Strong skills in market analysis and financial modeling.
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Advanced proficiency in Excel and VBA; familiarity with programming languages such as Python or R is a plus.
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Fluent in English (French is a plus).
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Strong analytical thinking, attention to detail, and problem-solving ability.
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Excellent teamwork and communication skills.
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Experience in financial analysis, business development, and project planning.