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Job Description & How to Apply Below
Responsibilities Conduct in-depth research on a curated list of securities.
Perform financial modelling and analyse investment opportunities.
Provide insights and recommendations based on data and trends.
Prepare detailed financial models and communicate findings to portfolio manager.
Requirements Strong Analytical Skills and research capabilities.
Strong Planning and organization/Time management skills.
Expertise in Financial Modelling.
2-5 years of experience in a similar role is required (Buy‑side, Sell‑side, M&A, Private Equity, etc.).Knowledge of US software space or Semiconductors (mid and large cap) is advantageous but is not mandatory.
University graduate.
Benefits Fully remote setup with no micromanagement.
Flexible working hours.
Zero red tape, bureaucracy, formatting and PowerPoint overhead.
Direct feedback from portfolio manager.
Opportunity for progression towards own ideas and performance‑based compensation structure over time.
Competitive compensation.
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