Job Responsibilities :
- Develop and maintain detailed financial models and databases.
- Conduct in-depth industry and company-level analysis, including forecasting and valuation.
- Apply various valuation methodologies such as DCF, Gordon Growth Model, and relative valuation techniques.
- Analyse management commentary and guidance to estimate company performance.
- Regularly interact with the client for updates, insights, and company views.
- Perform data aggregation and analysis from various company and industry sources.
- Draft fund and market performance summaries at quarter-end.
- Prepare research content, including reports, notes, and investment briefs.
- Handle ad-hoc requests and provide timely data or analysis as needed.
- Provide administrative and operational support related to research activities.
- Take on additional responsibilities as assigned by the team.
Desired Candidate Profile :
Sector-agnostic analysts preferred, with in-depth knowledge of covered industries and companies .Practical experience with valuation frameworks like DCF, DDM, and comparable company analysis.Proficiency in advanced Excel ; knowledge of VBA or Python is an added advantage.Familiarity with financial databases.Strong skills in financial writing , communication, and proactive idea generation.Ability to deliver high-quality output under tight deadlines in a team-oriented environment.Key Skills :
Equity Research | Financial Analysis | Financial Modeling | Valuation | Report Writing
Experience Required :
1–3 years of hands-on equity research experience with demonstrated exposure to financial markets and global macro trends.
Educational Qualifications :
MBA (Finance), CA, CFA (any level), or equivalent.