Capital Market Analyst at Elvaridah

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
8 days ago

Additional Details

Job ID
148500
Job Views
27

Job Description






Job Summary




  • The Capital Market Analyst will be responsible for analyzing financial markets, evaluating investment opportunities, and providing data-driven insights to support investment decisions.

  • The role requires strong analytical skills, in-depth knowledge of capital markets, and the ability to interpret economic trends, financial statements, and market data.

  • The ideal candidate should have 3–4 years of relevant experience in capital markets, investment analysis, or financial research, with a strong understanding of equities, fixed income, and macroeconomic indicators.



Key Responsibilities

Market Research & Analysis:




  • Conduct in-depth research and analysis of equity and fixed income markets.

  • Monitor market trends, economic developments, and regulatory changes affecting investments.

  • Prepare daily, weekly, and monthly market reports and investment briefs.

  • Analyze macroeconomic indicators and their impact on financial markets.



Investment Analysis:




  • Evaluate investment opportunities through financial modeling, valuation, and risk analysis.

  • Perform company valuations using methods such as DCF, comparable analysis, and precedent transactions.

  • Track performance of investment portfolios and provide actionable insights.

  • Support portfolio managers in asset allocation and investment strategies.



Financial Modeling & Reporting:




  • Build and maintain financial models for forecasting and valuation purposes.

  • Prepare detailed investment memos, presentations, and reports for internal stakeholders and clients.

  • Interpret financial statements and identify key financial and operational risks.



Client & Stakeholder Support:




  • Assist in preparing investor presentations and client reports.

  • Provide insights and recommendations to support client investment decisions.

  • Collaborate with internal teams (trading, research, compliance) to ensure seamless execution.



Compliance & Risk Management:




  • Ensure adherence to regulatory requirements and internal investment policies.

  • Identify and assess risks associated with investment decisions.

  • Maintain proper documentation and audit trails for all analyses.



Qualifications & Requirements




  • Bachelor’s degree in Finance, Economics, Accounting, or a related field.

  • 3–4 years of experience in capital markets, investment banking, asset management, or financial advisory.

  • Professional certifications such as CFA (Level I or II) or progress toward certification is an advantage.

  • Strong knowledge of financial markets, instruments (equities, bonds, derivatives), and valuation techniques.

  • Proficiency in Microsoft Excel and financial modeling.

  • Familiarity with financial data platforms (e.g., Bloomberg, Reuters) is an added advantage.



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