Senior Analyst - Portfolio Management

Omanyp

Dubai

On-site

AED 167,400 - 223,200

Full time

14 days+

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Job summary

Omanyp, a prominent UAE-based investment institution, is seeking a Senior Analyst to support portfolio management activities. Key responsibilities include conducting market analysis, financial modelling, and transaction support to drive value creation.

The ideal candidate should possess a Bachelor's degree in Finance or a related field, along with 1-3 years of relevant experience, and strong analytical and communication skills. Exposure to Big 4 or leading financial institutions is advantageous.

Qualifications

  • 1-3 years of relevant experience in private equity, asset management, investment banking, or consulting.
  • Strong financial modelling and valuation skills with understanding of financial statements.
  • Professional qualifications such as CFA or ACCA preferred.

Responsibilities

  • Conduct macroeconomic and sector research to identify trends, risks, and opportunities.
  • Assess business models, strategy, competitive positioning, and KPI performance.
  • Build and maintain financial models, perform valuation and returns analysis.
  • Monitor portfolio performance and contribute to value creation strategies.
  • Assist in the execution of acquisitions, divestments, and capital structure initiatives.
  • Prepare internal reports, asset reviews, and investment committee materials.

Skills

Financial modelling
Valuation skills
Analytical skills
Problem-solving
Communication skills

Education

Bachelor's degree in Finance, Economics, Mathematics, or related field
Master's or MBA

Job description

Our client is a prominent UAE-based investment institution with a diversified global portfolio spanning multiple sectors. The organisation plays a key role in driving long-term economic growth and value creation through disciplined investment and active portfolio management.

The Senior Analyst will play a key role in supporting portfolio management activities, including:

Responsibilities
  • Market & Industry Analysis: Conduct macroeconomic and sector research to identify trends, risks, and opportunities
  • Portfolio Company Analysis: Assess business models, strategy, competitive positioning, and KPI performance; prepare regular performance updates
  • Financial Modelling & Valuation: Build and maintain financial models, perform valuation and returns analysis, and support strategic decision-making
  • Asset Management: Monitor portfolio performance, support operational initiatives, and contribute to value creation strategies
  • Transaction Support: Assist in the execution of acquisitions, divestments, and capital structure initiatives, including financial analysis and documentation
  • Reporting: Prepare internal reports, asset reviews, and investment committee materials
Qualifications
  • UAE National
  • Bachelor's degree in Finance, Economics, Mathematics, or a related field (Master's or MBA preferred)
  • 1-3 years of relevant experience within private equity, asset management, investment banking, or consulting
  • Strong financial modelling and valuation skills with solid understanding of financial statements
  • Excellent analytical, problem-solving, and communication skills
  • High attention to detail with the ability to manage multiple priorities
  • Professional qualifications such as CFA or ACCA (preferred)
  • Exposure to Big 4 or leading financial institutions is advantageous
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