Role & Responsibilities
- Creation and updating of financial models
- Preparation of research reports on global companies across all sectors containing (inter alia) analysis of companies’ competitive advantage, management team, ESG characteristics, valuation.
- A broad/generalist approach to all sectors, incorporating macroeconomic thinking as well as bottom-up analysis.
- Contribution to debate and discussion (on stocks and macro themes – both presenting and critiquing) within the US and broader Global and UK Equity teams.
- In time, presenting to clients and consultants.
Background & Experience
- The successful candidate is likely to have in excess of 2 years of experience in either a sell side or buy side Equity research role.
- Be comfortable navigating financial statements and annual reports.
- Exposure to producing detailed financial reports.
- Be of an inquisitive and of as intellectually curious nature.
- The candidate is expected to have an undergraduate degree with a strong record of academic achievement and ideally studying towards the CFA although this is not a pre-requisite.
Please note that due to the high volume of applicants responding to our adverts we are regrettably not able to feedback on all applications; only successful candidates will be contacted.