The Employee will be the member of the team responsible for managing several Emerging Market fixed income portfolios.
Professional fields
Work experience
3-6 yrs
Position level
Specialist/Analyst
Office address
Russia, Moscow, .
Education level
Graduate
Language
English
Upper-Intermediate
Responsibilities
The role involves performing comprehensive fundamental analysis of various issuers and deep understanding of fixed income investment and processes, including:
· Fundamental research of the relevant financial sector issuers across different EM countries
· Building and maintenance of comprehensive financial models
· Assisting in performing internal credit scoring process
· Defining investment cases and formulating investment recommendations
· Holding presentations at the internal Investment Committees and in front of external clients
· Continuous research coverage of the countries / issuers
Requirements
· Minimum 3 to 5 years of related work experience in risk management, treasury or financial institutions department in Russia or abroad
· Strong quantitative and coordination skills are essential with a passion for personal challenge, growth, and overcoming intercultural barriers
· Degree in finance, business, accounting or economics or its equivalent from reputable university or business school
· We are seeking high performing candidates to join our growing global team
· Strong quantitative and coordination skills are essential with a passion for personal challenge, growth, and overcoming intercultural barriers
· Degree in finance, business, accounting or economics or its equivalent from reputable university or business school
· We are seeking high performing candidates to join our growing global team
Conditions
·Position reports to Portfolio Manager and is based in Moscow