Compile advisory reports and make informed recommendations on new investment opportunities and funds that could enhance or diversify portfolios
Monitor closely financial press and keep track of market trends, opportunities, risks and new investment products
Conducting research to identify new opportunities within specific industries or geographic regions that may have growth potential
Researching economic factors such as interest rates, inflation rates, and other macroeconomic factors that may affect an industry or company’s performance
Researching specific companies to determine their viability as investment opportunities
Identifying critical areas of business performance for other stakeholders.
Liaise with fund managers and network with industry professionals.
Requirements
Minimum of a First Degree in Finance, Economics, Statistics, or any related discipline
At least 2 years experience in a similar role
Strong mathematical and numerical skills.
Proficiency in data collection and analysis.
Excellent research and writing abilities.
A flair for statistics and data manipulation.
Thorough understanding of financial analysis and investment strategy.