What Junior Investment Analyst Jobs are in Singapore?
Showing 1499 Junior Investment Analyst jobs in Singapore
Junior Investment Analyst (Contract Role)
Posted 1 day ago
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Junior Investment Analyst (Contract)
We are currently partnering with a client who is looking for a Junior Investment Analyst to join their investment team on a 9-month contract basis.
This opportunity will suit candidates who enjoy working in a fast-paced, analytical environment with exposure across investment research, portfolio monitoring, financial modelling, and market analysis.
Key responsibilities include:
- Conducting research across equities, fixed income, funds, and other investment products
- Supporting portfolio monitoring, reporting, and performance analysis
- Performing financial modelling, valuation analysis, and market assessments
- Preparing investment summaries, reports, and management presentations
- Supporting due diligence and investment risk reviews
- Working closely with portfolio managers and investment stakeholders
Ideal candidates should have:
At least 1 year of experience in investment analysis, equity research, portfolio analytics, or financial analysis
Strong Excel and financial modelling skills
Understanding of financial markets and investment products
Exposure to Bloomberg / Reuters would be advantageous
Candidates with progress towards CFA or other professional investment qualifications will have an added advantage
John Koh
Quess Selection & Services
EA Licence Number: 23C2060
Registration ID is R
Disclaimer: The company is committed to ensuring the privacy and security of your information. By submitting this form, you consent to the collection, processing, and retention of the information you provide. The data collected (which may include your contact details, educational background, work experience and skills) will be used solely for the purpose of evaluating your qualifications for the position you're applying for. Your data will be stored securely and retained for the duration necessary to fulfil our hiring process. If you are not selected for the position, your data will be kept on file for a limited period in case future opportunities arise. You have the right to access, correct, or delete your data at any time by contacting us at Quess Singapore | A Leading Staffing Services Provider in Singapore (quesscorp.sg)
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Investment Analyst
Posted 1 day ago
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Location
Based in Singapore; travel across Southeast Asia as required
KEY RESPONSIBILITIES
Analytical
– Build and own LBO, DCF, and M&A financial models from scratch
– Run valuation analyses including comparable companies, precedent transactions, and sum-of-the-parts
– Conduct scenario and sensitivity analyses to stress-test investment assumptions and returns
– Execute financial due diligence: historical financial analysis, working capital review, and normalisation
– Prepare comparable company and transaction analyses to support exit valuation
Communication & Documentation
– Draft sections of IC memos including industry background, company overview, and financial history
– Produce supporting charts, tables, and data slides for presentations
– Prepare LP reporting materials, fund update decks, and portfolio review materials
– Compile and summarise findings from external advisors into clear, structured notes
– Support preparation of management presentation materials for the exit process
Research & Market Intelligence
– Compile market maps and sector landscape analyses to identify potential investment targets
– Monitor key KPIs and competitive dynamics across covered sectors
– Research inbound opportunities and flag those that meet the firm's investment criteria
– Help compile data for value-creation workstreams including add-on acquisition screening and operational benchmarking
Process & Operations
– Maintain and update the deal pipeline tracker and CRM records
– Organise and manage the data room; maintain the diligence checklist and track outstanding items
– Track buyer process timelines and manage document requests during the sale process
– Collect monthly and quarterly reports from portfolio companies; update performance dashboards
– Manage document version control, formatting consistency, and file organisation across deal folders
– Maintain accurate and up-to-date records across all portfolio company files and reporting
QUALIFICATIONS& EXPERIENCE
– 2–4 years working experience preferred
– Bachelor's degree or above, Business, Finance, Economics, or Accounting preferred
– Strong financial modelling skills
– Familiarity with AI-enabled tools and ability to apply them effectively in research, analysis, documentation, and workflow improvement.
– Ability to conduct due diligence in companies, analytical and quantitative with grounding in finance.
– High attention to detail; ability to manage multiple workstreams in a fast-paced environment
– Proficiency in English, fluency in other languages is a plus
COMPENSATION & BENEFITS
– Competitive base salary benchmarked against top-tier PE and investment banking pay scales
– Comprehensive health, dental, and vision coverage
– Annual learning & development budget
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Job Description
About the Company
We are a Singapore-based family office/ investment holding company. We are taking on increasingly ambitious projects, and investments globally across multi-asset classes including public equities, bonds, private equity and venture capital.
About the Role
We're looking for an Investment Research Analyst to join our team. This is a multi-asset research mandate — while our roots are in public equities, we're equally open to candidates with backgrounds in fixed income, FX, or other markets. What matters most to us is analytical rigour, intellectual hunger, and the ability to leverage modern tools (including AI) to research faster and deeper than the next person.
Responsibilities
- Generate strong and consistent alpha applying a bottom-up, fundamental investment process.
- Initiate and conduct in-depth, high-quality fundamental equity analysis of assigned publicly traded securities, to identify undervalued stocks with the potential to generate good returns over the long-term.
- Evaluate corporate financial statement outputs to assess the worth of the company using multiple techniques such as discounted cash flow analysis, price-to-earnings ratio and price-to-cash flow ratios.
- Structure, develop and communicate the key drivers of the business, valuation and investment recommendations on individual securities, as well as provide views on the attractiveness of relevant industries.
- Assist in portfolio monitoring (provide direction and advice on buy/sell/hold recommendations) and risk management (exposure, hedges etc.)
- Monitor, interpret and react to major company developments, and identify macro themes and trends affecting global supply chains and industries under your coverage.
- Monitor industry and market trends for changes and investment opportunities by staying up-to-date with latest industry and company information.
- Portfolio management and reporting.
Qualifications
- Bachelor's degree in Economics, Finance or other technical/ analytical fields preferred.
- Minimum 2 years of relevant investment experience or analysis — public equities, fixed income, FX, private equity, venture capital, or similar.
Required Skills
- Possess expertise in financial modelling and valuation, financial statement analysis, due diligence and data analysis.
- Possess astute commercial sense, strong analytical and critical thinking skills.
- Adept at using AI tools (e.g., LLMs, research copilots, data analysis tools) to speed up research workflows — sourcing data, summarizing filings, building models, or stress-testing a thesis. We want someone who treats AI as a force multiplier, not a crutch.
- Dependable, positive, warm, kind, trustworthy, and efficient.
- You must be a self-starter, with a thirst for learning and be comfortable expressing your point-of-view.
- Ability to balance multiple concurrent projects and work both independently and as a productive member of project teams.
- Detail-oriented with high level of work quality.
- Candidate must have a valid pass or be a Singaporean/PR.
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Job Description
**Background**
+ Temasek and BlackRock, Inc. established Decarbonization Partners, a joint venture focused on investing in the next generation of innovative decarbonization solutions and businesses that can accelerate global efforts to achieve net-zero emissions by 2050. The partnership represents an extension of Temasek and BlackRock's commitment to sustainability, a core strategic priority for both firms.
+ Decarbonization Partners seeks to help scale climate solutions and support the development of decarbonization and climate investing as an emerging asset class. The platform focuses on late-stage venture and growth equity investments across sectors such as next-generation renewables, mobility, emerging fuel sources, grid solutions, battery storage, and EV / AV technologies. Over time, the platform may also evaluate opportunities in frontier decarbonization sectors including carbon capture and storage, industrial applications, the built environment, and advanced manufacturing.
+ Decarbonization Partners deploys flexible capital across multi-stage investments, targeting early-stage and growth companies as well as established businesses with meaningful decarbonization potential. The team partners with businesses seeking to scale platforms, technologies, and solutions that can drive measurable emissions reduction.
**The Role**
**Job Summary**
+ Decarbonization Partners is seeking a highly motivated Investment Analyst to join its investment team. The role will provide meaningful exposure to investment opportunities across a wide range of sectors and geographies, with a focus on climate and decarbonization solutions.
+ The Analyst will work closely with senior investment professionals in a collaborative, entrepreneurial environment and will contribute across the full investment lifecycle, including investment analysis, due diligence, transaction execution, investment committee preparation, and portfolio monitoring.
+ This role is well suited to a candidate with strong financial and analytical skills, commercial judgment, intellectual curiosity, and a demonstrated interest in sustainability, climate technology, energy transition, infrastructure, growth equity, or private markets investing.
**Key Responsibilities**
+ Build and maintain financial models to evaluate investment opportunities, including valuation, returns, sensitivity, and scenario analysis.
+ Support deal evaluation and execution, including due diligence, financial analysis, market research, investment committee materials, data room review, adviser interactions, and documentation support.
+ Conduct sector, company, competitor, and regulatory research to assess business models, growth prospects, competitive positioning, and key investment risks.
+ Monitor portfolio company performance and prepare related reporting, analytics, valuation updates, and presentation materials for internal and external stakeholders.
+ Contribute to thematic research, pipeline development, and broader investment team initiatives.
**Experience & Skills**
+ Prior experience in investment banking, private equity, growth equity, venture capital, infrastructure, project finance, consulting, corporate development, or a comparable analytical role preferred.
+ Strong financial modelling, valuation, analytical, and quantitative skills.
+ Strong commercial judgment, with the ability to synthesize complex information into clear insights and recommendations.
+ Demonstrated interest in decarbonization, climate technology, energy transition, sustainability, infrastructure, or private markets investing.
+ Excellent written and verbal communication skills, including the ability to prepare high-quality investment materials.
+ Highly organized and detail-oriented, with the ability to manage multiple workstreams and deliver high-quality work under deadlines.
+ Collaborative, entrepreneurial, and intellectually curious, with a strong fit for a fast-paced team environment.
+ Bachelor's degree required; finance, economics, business, engineering, science, or another quantitative or technical discipline preferred.
**Our benefits**
To help you stay energized, engaged and inspired, we offer a wide range of benefits including a strong retirement plan, tuition reimbursement, comprehensive healthcare, support for working parents and Flexible Time Off (FTO) so you can relax, recharge and be there for the people you care about.
**Our hybrid work model**
BlackRock's hybrid work model is designed to enable a culture of collaboration and apprenticeship that enriches the experience of our employees, while supporting flexibility for all. Employees are currently required to work at least 4 days in the office per week, with the flexibility to work from home 1 day a week. Some business groups may require more time in the office due to their roles and responsibilities. We remain focused on increasing the impactful moments that arise when we work together in person - aligned with our commitment to performance and innovation. As a new joiner, you can count on this hybrid model to accelerate your learning and onboarding experience here at BlackRock.
**Guidance on AI use for candidates**
At BlackRock, AI has long been part of how we work - enhancing decision-making, improving operations, and helping us deliver better outcomes for clients. We encourage candidates to use AI thoughtfully to learn, prepare, and work more effectively; but during our interview process, we want to focus on getting to know you through your own experiences, thinking, and judgment. To support you, we've provided **guidance** on when and how to use AI during our hiring process so you can approach each step with confidence and showcase your best self.
**About BlackRock**
At BlackRock, we are all connected by one mission: to help more and more people experience financial well-being. Our clients, and the people they serve, are saving for retirement, paying for their children's educations, buying homes and starting businesses. Their investments also help to strengthen the global economy: support businesses small and large; finance infrastructure projects that connect and power cities; and facilitate innovations that drive progress.
This mission would not be possible without our smartest investment - the one we make in our employees. It's why we're dedicated to creating an environment where our colleagues feel welcomed, valued and supported with networks, benefits and development opportunities to help them thrive.
To learn more about BlackRock, please visit Careers.BlackRock.com . We also encourage you to get to know us on LinkedIn , Instagram , YouTube , X , and TikTok .
BlackRock is proud to be an Equal Opportunity Employer. We evaluate qualified applicants without regard to age, disability, family status, gender identity, race, religion, sex, sexual orientation and other protected attributes at law.
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Job Description
A leading global multi-strategy hedge fund are seeking a highly motivated Junior ECM Investment Analyst to join their Event Driven & Special Situations team. The Investment Analyst will work closely with senior PMs and senior analysts to analyze, structure, and monetize opportunities across the ECM spectrum.
Responsibilities
- Monitor and analyze global ECM deal flow (IPOs, follow-on offerings, convertible bonds, ATMs, block trades, etc.)
- Build detailed financial models and valuation analyses to assess new issue pricing, dilution impact, and post-deal performance
- Conduct channel checks, investor feedback analysis, and sentiment tracking on upcoming deals
- Prepare daily/weekly ECM summaries and trade recommendations for portfolio managers
- Track deal performance (first-day pops, lock-up expirations, secondary offerings) and identify trading opportunities (long/short, pair trades, volatility)
- Support senior team members on special situations and event-driven ideas involving capital raises
- Maintain ECM databases, deal calendars, and market intelligence platforms
- Collaborate cross-functionally with fundamental analysts and traders
Requirements
- 3+ years of relevant experience in ECM, Investment Banking (ECM or M&A), Equity Research, or Event Driven / Special Situations investing
- Strong understanding of equity capital markets mechanics, deal structuring, and market dynamics
- Excellent financial modeling and valuation skills (DCF, comps, precedent transactions)
- High attention to detail with strong analytical and quantitative abilities
- Ability to work under pressure in a fast-paced, deal-driven environment
- Superior communication skills (both written and verbal)
- Bachelor’s degree from a top university (Finance, Economics, or related field preferred)
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Job Description
Blueleaf Energy is a leading pan-Asian renewable energy platform, owned by a fund managed by Macquarie Asset Management—one of the world’s largest infrastructure asset managers. We specialize in utility-scale solar, wind, energy storage, and hybrid renewables projects. Our mission is to accelerate Asia’s transition to a just, reliable, and affordable clean energy future, driven by innovation, strong local partnerships, and a commitment to sustainability.
Role Summary
As an Investment Analyst, you will be involved in transaction coordination, deal structuring, business and financial diligence, and market analysis. You will be expected to work as a member of a highly effective headquarter based investment team that is responsible for building and growing our investment portfolio both organically via developing greenfield projects as well as inorganically via acquisition opportunities.
How You Will Make an Impact
- Assist in the origination of a pipeline of renewable energy projects and screen investment opportunities
- Maintain up to date understanding of our markets – India, Southeast-Asia, Japan onshore renewables market, including for instance trends, market participants, precedent transactions, and opportunities and support review of strategy to fit environment
- Assist in analysis on opening up new markets for BLEA in East Asia and SE Asia
- Support necessary due diligence, financial modeling, and risk analysis.
- Participate in and/or support commercial, legal and financial aspects of deal structuring
- Prepare internal approval papers including analysis and assessment of relevant opportunities to facilitate the Investment Director, Development Director and Blueleaf Energy leadership team to make investment decisions
- Prepare project teaser or information memoranda for debt and equity investors, including responding to potential investor and financier’s commercial and technical due diligence
- Support presentation of deal pipeline and transaction details to the Blueleaf Energy leadership team and Board for review and approval
- Complete regular reporting activities for internal progress management purposes as well as updating Blueleaf Energy leadership on the ongoing deals pipeline and expected timeframes of reaching key milestones
What Makes You a Great Fit
- Degree in Finance, Commerce, Business Administration, Economics, Actuarial or similar level commercial or technical discipline/CA/BA-Finance preferred
- Minimum 3 years’ experience working in Investment Banking, Private Equity or Infrastructure Funds Management with a background in the infrastructure, utilities or renewable energy sector
- Possess strong quantitative and analytical skills to be able to conduct financial analysis, valuation and forecasting
- Ability to create compelling written documents and presentations presenting and supporting the financial analysis that has been undertaken
- Strong MS Office skills (Excel, Word, PowerPoint, Outlook, OneNote, Teams).
- Proactive, detail-oriented and ambitious personality
- Effective communicator with excellent interpersonal and relationship management skills.
- Excellent written and conversational English as well as ability to communicate with key internal and external stakeholders.
What We Offer
- Competitive base salary with performance-based bonuses tied to company success.
- Flexible hybrid work model
- Comprehensive Group Health Insurance coverage
- Career development and training opportunities
Our Commitment to Diversity, Equity, and Inclusion
At Blueleaf Energy, we are committed to creating a diverse, equitable, and inclusive work environment where every individual feels valued, respected, and empowered to thrive. We believe that diverse teams drive innovation and foster creativity, and we are dedicated to building a workforce that reflects the communities we serve.
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Investment Banking (M&A) Senior Analyst/Associate
Posted 1 day ago
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Company Description
Pickering Pacific is a Singapore-based M&A advisory firm specialising in mergers & acquisitions in East Asia. It was established in 2004. Our geographic coverage focuses on Southeast Asia. We provide complete M&A services for buy-side (target identification, owner approach, and transaction execution) and sell-side (buyer identification and transaction execution) projects.
Open position
Pickering Pacific is looking for a senior analyst (2-3 years of experience) or an associate (4-6 years of experience) to join its team. This position is suitable for candidates with relevant experience in M&A or closely related roles. Candidates must be available to start work with the firm no later than October 2026 (earlier is better).
This is a full-time position based in Singapore.
Differentiating factors
The position offers direct client exposure and significant involvement in end-to-end deal execution across Southeast Asia.
Pickering Pacific has an entrepreneurial culture with lean teams and a faster promotion path for suitable candidates.
Qualifications
- A degree from a well-recognised university;
- Excellent proficiency in both oral and written communication in English;
- Two to six years of M&A or corporate finance-related experience;
- A good understanding of business fundamentals: strategies, operating models, corporate functions, macroeconomics, and business in Asia;
- Advanced skills in valuation, financial analysis and modelling;
- Good general research skills.
General attributes
- High level of integrity;
- Motivated and diligent;
- Strong analytical and problem-solving skills;
- Attention to detail;
- Excellent communication skills;
- Ability to work autonomously as required;
- Ability to travel occasionally within Southeast Asia, as necessary.
Duties
Working on the following, under the direction of senior team members and with the help of junior team members:
- Execution of M&A transactions: participate in and/or oversee the preparation of marketing materials and other deal documents, develop financial and strategic analysis, prepare business valuations, oversee the coordination of due diligence processes, etc.;
- Execution of target search projects: participate in and/or oversee the research and drafting of target search reports, etc.;
- Origination support: generate sales ideas through market monitoring, prepare sales and marketing presentations, participate in client pitches, etc.;
- The firm’s overall administration as required.
Terms
We will provide an attractive fixed salary. The exact salary will depend on the selected candidate’s seniority and capabilities. The selected candidate will also be entitled to employee benefits (annual leave, insurance, etc.) and a bonus scheme based on the overall results of Pickering Pacific and the selected candidate’s contribution level.
Applications
If you are interested in applying for this position at Pickering Pacific, please email your curriculum vitae (CV) to (indicating in the subject “June 2026 position”) by 15 July 2026.
Interviews will be conducted on a rolling basis, starting before the submission deadline. You are encouraged to apply early.
We expect a large number of applications. Therefore, we will only notify applicants who are shortlisted for the first-round interview.
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Job Description
_corporate_fare_ Google _place_ Singapore
**Mid**
Experience driving progress, solving problems, and mentoring more junior team members; deeper expertise and applied knowledge within relevant area.
_info_outline_
X
Google will be prioritizing applicants who have a current right to work in Singapore, and do not require Google's sponsorship of a visa.
**Minimum qualifications:**
+ Bachelor's degree in Business, Finance, Economics, Statistics, or another quantitative field, or equivalent practical experience.
+ 7 years of experience in financial planning and analysis (FP&A), consulting, or a related function, or an advanced degree.
+ Experience with programming (i.e. SQL).
**Preferred qualifications:**
+ Experience with building data infrastructure (e.g., designing architecture, building data pipelines, implementing scalable monitoring) and implementing reporting solutions.
+ Experience in developing strategies in fast-paced engaging environments, impeccable business judgment for resource allocation decisions to achieve the desired business outcome.
+ Leadership experience with complex strategic and operational initiatives, across multiple products, functions, and geographies.
+ Ability to work with data to produce analysis, influencing decision making with numerical analysis and generating insights.
+ Ability to take ownership, confidence to interact with all levels, set objectives, drive results, and be a team player.
**About the job**
At Google, data drives all of our decision-making. The Finance organization is an important partner and advisor to executive leadership and is integral to help scale and grow our Devices and Services business at Google.
As part of the APAC Finance team, you will use data to inform strategic investments and product decisions across the company. Using your technical skills, business acumen and creativity, you will develop analysis and insights to help business partners understand key performance drivers and metrics, while providing recommendations to shape their investment decisions.
**Responsibilities**
+ Manage Google's first-party operations for hardware for the region across all products and find efficiencies through system enhancements and AI workflows together with global finance improving SOX compliance and reporting.
+ Manage day to day operations including forecasting of various profit and loss line items up to net business generation, partnering closely with global finance teams and regional business stakeholders for new wave markets.
+ Develop tools and data infrastructure to measure the effectiveness of different initiatives for a range of audiences, including executives.
+ Partner with country finance leads to efficiently launch products in markets including expansion and changes in pricing structure.
+ Increase efficiency in operations through automation and standardization leveraging AI/ML where possible.
Information collected and processed as part of your Google Careers profile, and any job applications you choose to submit is subject to Google'sApplicant and Candidate Privacy Policy (./privacy-policy) .
Google is proud to be an equal opportunity and affirmative action employer. We are committed to building a workforce that is representative of the users we serve, creating a culture of belonging, and providing an equal employment opportunity regardless of race, creed, color, religion, gender, sexual orientation, gender identity/expression, national origin, disability, age, genetic information, veteran status, marital status, pregnancy or related condition (including breastfeeding), expecting or parents-to-be, criminal histories consistent with legal requirements, or any other basis protected by law. See alsoGoogle's EEO Policy ( ,Know your rights: workplace discrimination is illegal ( ,Belonging at Google ( , andHow we hire ( .
If you have a need that requires accommodation, please let us know by completing ourAccommodations for Applicants form ( .
Google is a global company and, in order to facilitate efficient collaboration and communication globally, English proficiency is a requirement for all roles unless stated otherwise in the job posting.
To all recruitment agencies: Google does not accept agency resumes. Please do not forward resumes to our jobs alias, Google employees, or any other organization location. Google is not responsible for any fees related to unsolicited resumes.
Equity is granted exclusively and discretionarily by Alphabet Inc. on the basis of an agreement concluded between you and Alphabet Inc. Alphabet Inc. is your sole contractual partner with respect to equity grants. GSU grants are not guaranteed, are discretionary, are subject to approval by the Alphabet Inc. board of directors or its delegate, the terms of the relevant Alphabet Inc. stock plan, and your grant agreement. They have no impact on statutory payments. Current or past grants do not confer an acquired right.
Google is proud to be an equal opportunity workplace and is an affirmative action employer. We are committed to equal employment opportunity regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity or Veteran status. We also consider qualified applicants regardless of criminal histories, consistent with legal requirements. See also and If you have a need that requires accommodation, please let us know by completing our Accommodations for Applicants form:
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Senior Analyst/ Associate, Investment Banking and Advisory
Posted 3 days ago
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About Maybank Securities
Maybank Securities, a leading brokerage and investment bank with a reach extending across ASEAN, the UK and the US, offers a comprehensive suite of services. These include corporate finance & advisory, navigating debt and equity capital markets, derivatives trading, brokerage and research for both retail and institutional investors, and prime brokerage.
The selected candidate will be part of our regional investment banking & advisory team which assists corporate clients in meeting their strategic and financial objectives. The candidate will work as part of the Power & Natural Resources team across products including, public and private debt, equity financing, mergers and acquisitions, leverage finance and financial advisory services.
Key Responsibilities
- Prepare and present materials used in client meetings, covering topics such as strategic alternatives, capital market activity and general corporate finance
- Transaction execution management, from the pitch phase through to closing; and lead work streams such as due diligence, document drafting, etc
- Build, review and edit financial models and valuation analysis
- Interface with clients on a range of topics from views on the state of the equity and debt market to capital structure considerations
Key Requirements
- Outstanding academic record with degree in Accountancy, Banking and Finance from a premier university
- At least 2-3 years of corporate finance and/or capital markets working experience
- Strong quantitative and technical abilities
- High degree of proficiency in corporate finance and financial modelling
- Drive, enthusiasm, creativity and excellent inter-personal skills
- Strong communication, multi-tasking and time management skills
We regret that only shortlisted candidates will be notified.
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Investment Analyst (Greater China Equities)
Posted 19 days ago
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Job Description
Location: Singapore
Firm Type: Boutique Long/Short Hedge Fund
We are a Singapore-based long/short hedge fund with a specialised track record in Japanese equities, currently strategically expanding our coverage across Asia. We pride ourselves on a disciplined, fundamental approach to investing and a lean, collaborative team culture. Please note that we operate on a fast-paced Japan market working calendar.
We are seeking a high-calibre Investment Analyst to lead our fundamental research efforts in the Greater China market, specifically targeting China A-shares and Hong Kong equities. Reporting directly to the CIO, the successful candidate will be responsible for identifying idiosyncratic investment opportunities that align with our bottom-up investment philosophy.
Key Responsibilities
- Fundamental Research: Execute detailed, bottom-up analysis of companies within the China A-share and Hong Kong markets, focusing on primary research.
- Financial Modelling: Build and maintain detailed financial models, evaluating company performance, valuations, and industry macro drivers.
- Idea Generation: Develop and articulate high-conviction investment theses, moving ideas from initial screening to formal pitch.
- Market Intelligence: Monitor mainland China’s regulatory landscape and industry-specific macro drivers to identify potential catalysts and risks.
- Corporate Engagement: Conduct direct outreach and technical interviews with company management teams and industry experts.
What We Are Looking For
- Experience: A minimum of 3 years of professional experience in Buy-side/Sell-side Equity Research or Investment Banking (IBD).
- Mandarin Proficiency (Strict Requirement): Native-level fluency in spoken and written Mandarin. You must be able to independently analyse primary statutory filings from the Shanghai and Shenzhen exchanges and conduct nuanced, technical interviews with mainland management.
- Japanese Proficiency (Massive Bonus): Business-level Japanese is highly desirable to support cross-border collaboration and thematic research with our Japan-focused desk.
- Technical Skills: Advanced financial modelling skills and a deep understanding of accounting principles.
- Fit: A pragmatic, intellectually curious professional who thrives in a lean, boutique environment and is committed to a career in public equities.
Growth Potential While the initial focus is on research and idea generation, high-performing individuals will have the opportunity to gain exposure to broader portfolio construction and risk management over time.
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