Overview
|
Job-type |
Full-Time |
|
Job Category |
All |
|
Industries |
Others |
|
Salary |
IDR 25,000,000
/Month
|
Who you'll be working for
A boutique Singapore-headquartered asset management and corporate advisory group operating across Southeast Asia since 1995, serving family offices, institutional investors and corporates with tailored investment and advisory solutions, including a globally focused private credit fund.
What requirements you'll need to be eligible
- Bachelor’s degree in Finance, Economics, Accounting, Business, or a related discipline.
- 1–3 years of experience in asset management, investment banking, equity research, consulting, fund management, or related roles.
- Open to candidates with experience reviewing CDD materials from fund manager or fund analyst positions, as long as they are familiar with applying consistent investment metrics.
- Familiar with financial databases such as Bloomberg Terminal, Capital IQ, PitchBook, or equivalent, and able to apply the same evaluation metrics across different asset classes and fund structures.
- Strong proficiency in Excel, financial modeling, and valuation techniques.
- Strong analytical, communication, and presentation skills; able to work independently in a fast paced environment.
What you'll be doing on the job
- Conduct financial, industry, and market research to support investment decision-making across multiple asset classes, with a primary focus on global funds and private credit strategies.
- Support the monitoring and performance analysis of the firm’s investment funds, including the newly established Private Credit Fund.
- Build and maintain financial models, valuation analyses, and investment projections (equities, fixed income, REITs, private credit, structured products).
- Prepare investment materials including teasers, investment memos, pitch decks, and reports for internal and client presentations.
- Monitor portfolio performance, track key risk and return metrics, and support portfolio balancing and allocation decisions based on defined risk appetite (allocation decisions led by senior management; analyst evaluates products and risks).
- Support content development and publications related to investment insights and opportunities.
Consultant Contact
Sound interesting?
Apply!