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L/S Equity Analyst

Venture Search

Dubai

On-site

AED 304,000 - 435,000

Full time

Today
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Job summary

A diversified investment platform in Dubai is seeking a highly driven Equity Analyst. In this role, you will shape investment decisions through in-depth analysis and robust financial modeling. The ideal candidate has 3-5 years of experience in equity research and strong communication skills. This position is perfect for someone who thrives in a performance-driven environment and enjoys engaging with company management and the investment community.

Qualifications

  • 3–5 years of experience in equity research, hedge funds, or buy-side investment analysis.
  • Experience in GCC/emerging markets is a plus.
  • Ability to operate under pressure in a performance-driven culture.

Responsibilities

  • Conduct deep-dive fundamental company analysis.
  • Build, maintain, and refine sophisticated valuation models.
  • Prepare clear investment memos and recommendations.
  • Monitor macroeconomic and sector developments.
  • Collaborate with other analysts for investment perspectives.

Skills

Financial analysis
Financial modeling
Analytical thinking
Communication skills
Excel proficiency

Education

Bachelor’s degree in Finance, Economics, Accounting, Engineering or a quantitative discipline
CFA qualification

Tools

Bloomberg
Refinitiv
Job description

Equity Analyst

Dubai, United Arab Emirates

We are working with a diversified investment platform with both traditional and alternative strategies, who is seeking a highly intelligent and driven Equity Analyst to join its Dubai team. Reporting directly to the Portfolio Manager, the successful candidate will play a key role in shaping investment decisions by generating differentiated insights, building robust financial models, and delivering high-conviction research. This role is ideal for someone who thrives in a hedge fund–style environment where intellectual curiosity, independent thinking, and analytical rigor are essential.

Key Responsibilities
  • Conduct deep-dive fundamental company analysis: financials, business models, market positioning, growth drivers, and competitive dynamics.
  • Build, maintain, and refine sophisticated valuation models (DCF, comps, scenario and sensitivity analysis).
  • Monitor macroeconomic, sector, and regulatory developments and assess their impact on portfolio positions.
  • Prepare clear, high-impact investment memos and recommendations for discussion with the Portfolio Manager and investment committee.
  • Interact with company management teams, industry specialists, and the broader investment community to test and sharpen investment theses.
  • Actively track and monitor portfolio performance, highlight risks and catalysts, and suggest tactical adjustments.
  • Collaborate with other analysts to share insights and develop cross-sector investment perspectives.
Qualifications & Skills
  • Bachelor’s degree in Finance, Economics, Accounting, Engineering, or a quantitative discipline; advanced degree (MBA, Master’s) a plus.
  • CFA qualification (or strong progress toward it) strongly preferred.
  • Minimum 3–5 years of experience in equity research, hedge funds, or buy-side investment analysis. Experience in GCC / emerging markets is a plus.
  • Outstanding financial modeling, valuation, and analytical skills; advanced Excel proficiency and comfort with Bloomberg/Refinitiv.
  • Exceptional intellectual ability: curious, independent thinker, capable of connecting macro trends with micro company insights.
  • Strong written and verbal communication skills with the ability to defend and articulate investment ideas directly to senior decision-makers.
  • High integrity, resilience, and ability to operate under pressure in a performance-driven culture.
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