Position Responsibilities:
- Analyze financial statements, performance ratios, and cash flows.
- Develop and evaluate detailed financial models (NPV, IRR, Payback, Sensitivity Analysis, DCF).
- Conduct in-depth equity market research and track sector-wise trends.
- Prepare comprehensive sector reports, investment briefs, and market updates.
- Monitor listed companies, stock performance, and industry developments.
- Support management with insights for investment decision-making.
Education:
- MBA (Finance) from a reputable institute.
Experience:
- 4–5 years of experience in financial analysis, investment banking, equity research, mutual funds, or similar roles.
