Research Analyst (buy-side), Global Markets
GL Financial Group is a global asset management group of companies with offices in Switzerland, United Kingdom, Luxembourg, Germany, Latvia, Cyprus and Moscow. Our top investment strategies are asset management with focus on equities and commodities, neutral to market equity strategy (spread trading), international debt market and premium brokerage. Today GL Financial Group has more than 20 financial and investment strategies from all over the world. The most part are indeed unique strategies. Underlying assets of abovementioned strategies are domestic and foreign equities, bonds, eurobonds, structured products, banking deposits, commodity futures. We offer competetive remuneration, bonuses and opportunity to become Portfolio Manager.
Responsibilities:
- Buy-side equity research preferably for long-only portfolios
- Performing fundamental equity research: US, Europe, Asia
- Business valuation: DCF models, Multiples, SWOT-analysis
- Preparation/protection of trading ideas for Portfolio Manager
- Generating long-term investment trades with focus on equities
- Evaluating investment opportunities across covered regions
- Monitoring corporate actions and other news related to equities
- Ability to cover different industries and countries effectively
- Reporting to Head of Research; responsibility for performance
Skills required:
- University educated (Finance, Banking or Investments)
- At least 1 year buy-side equity research experience
- US GAAP/IFRS knowledge; strong analytical/financial skills
- Financial modeling experience and fundamental research
- Strong excel skills and must be advanced Bloomberg user
Skills desired:
- Experience in money-making stock picking is fully welcome
- CFA, MBA is preferred
Additional information:
- Based in Zurich, Switzerland
- Must be prepared to travel internationally
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