Responsibilities:
- Conduct in-depth research and analysis of companies within global emerging markets, including financial statements, market trends, industry dynamics, and competitive positioning.
- Develop and maintain financial models to forecast company performance and valuation metrics.
- Generate investment recommendations based on thorough fundamental analysis, including buy/sell/hold recommendations and target price estimates.
- Monitor portfolio performance and provide regular updates to investment team and clients.
- Stay updated on geopolitical events, economic developments, and regulatory changes affecting global emerging markets.
- Collaborate with investment team members to identify investment opportunities and risks, and contribute to investment strategy discussions.
- University Degree or equivalent.
- CFA or equivalent, Masters or MBA (would be preferred but not essential)
- Very strong in Excel/ modelling (this is critical)
- Strong communication and presentation skills.
- Mandarin speaker would be preferable (not essential)
- Minimum 3 years of manager selection experience. Need at least 6-8 years of investment experience in total.