About the Role
We are looking for a detail-oriented and analytical Research Analyst (Finance) to join our team. The role involves conducting in-depth financial research, analyzing investment opportunities, and preparing reports focused on the US markets (Bonds, ETFs, and related instruments). The candidate should have a strong academic background and a passion for financial markets.
Key Responsibilities
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Conduct research and analysis on US markets, focusing on bonds, ETFs, and other financial instruments.
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Prepare detailed financial models, valuation reports, and investment presentations.
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Track market developments, macroeconomic indicators, and sectoral trends.
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Provide insights and recommendations to support investment decisions.
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Assist in preparing research reports, white papers, and strategy notes for internal and external stakeholders.
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Collaborate with senior analysts and the management team for ongoing projects.
Requirements
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MBA in Finance (CFA Level I/II preferred).
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Strong understanding of financial markets, investment analysis, and valuation techniques.
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Proficiency in Excel, financial modeling, and presentation tools.
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Excellent analytical, quantitative, and problem-solving skills.
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Strong written and verbal communication skills.
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Ability to work independently and meet tight deadlines.
What We Offer
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Exposure to global financial markets with a focus on the US.
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Opportunity to work on live investment projects and research assignments.
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Competitive compensation in the range of ₹25,000 – ₹30,000 per month (based on candidate profile). A dynamic and growth-oriented work environment.