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Senior Analyst, Asset Management

Vision Invest

Riyadh

On-site

SAR 80,000 - 150,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a proactive Asset Management Analyst to support the Senior Manager in financial analysis and portfolio management. This role involves building financial models, analyzing market trends, and preparing insightful reports that drive investment decisions. The ideal candidate will have a strong foundation in finance and experience in investment banking or asset management, particularly within the KSA or Middle East. Join a dynamic team where your contributions will enhance the financial health of a diverse investment portfolio and foster strong stakeholder relationships. This is a fantastic opportunity for growth and development in a collaborative environment.

Qualifications

  • 2-3 years of experience in investment banking or asset management.
  • Bachelor’s degree in Business Administration, Finance, or Economics.

Responsibilities

  • Build financial models and analyze financial statements for investment decisions.
  • Conduct market trends analysis and support quarterly portfolio reporting.

Skills

Financial Analysis
Financial Modeling
Market Analysis
Stakeholder Management
Risk Management

Education

Bachelor’s degree in Business Administration
Master’s degree in Finance or Economics

Job description

Role Purpose and Summary:

Responsible to support the Senior Manager, Asset Management on research and analysis, building financial models, analyzing financial statements, preparing reports, presentations and proposal, monitoring market trends, and supporting quarterly portfolio reporting.

Key Responsibilities:

Financial analysis and management

• Build financial models to project cash flows, forecast investment returns and perform sensitivity analysis.

• Read and analyze financial statements and valuation reports to support investment decision making.

• Support in quarterly reporting of portfolio assets and presentations for internal stakeholders.

• Conduct in-depth analysis and forecasting of market trends, developing investment models to maximize asset value.

• Conduct comprehensive market and sector analysis to ensure the financial health and success of assets; monitor and analyze financial performance metrics of assets, providing regular updates to the Senior Manager.

• Coordinate with internal and external stakeholders, ensuring effective communication and collaboration; support the Senior Manager in stakeholder meetings, preparing necessary documentation and taking minutes.

Portfolio management support

• Conduct research and extract findings that assist in identifying merger and acquisition opportunities aligned with the established portfolio strategy.

• Prepare detailed reports and presentations, highlighting key findings and strategic recommendations, ensuring compliance and reporting on developments.

• Monitor and analyze market trends and industry developments to identify risks and opportunities for the investment portfolio.

• Work on inter-departmental projects and execute other responsibilities as assigned.

• Assist in the preparation of regular reports on portfolio performance, compliance, and other relevant metrics.

Team engagement

• Collaborate and work closely with team members within function, learning from mentors, seeking input, providing support as directed, showing initiative, and contributing towards a positive and productive environment.

Learning & development

• Identify necessary individual development goals in collaboration with line manager and prioritize assigned trainings to further develop skills and knowledge.

Stakeholder management

• Assist team members in establishing strong relationships with key stakeholders / partners, both internal and external to Vision Invest.

Risk management

• Support in identifying and understanding risks related to scope of work and work within established risk management guidelines.

Compliance & reporting

• Adhere to relevant regulations, compliance guidelines and internal policies associated with scope of work.

• Support the development of progress reports, memos, and presentations for various stakeholders.

Experience:

• 2-3 years of experience in investment banking, asset management, consulting or Big 4 corporate finance.

• Experience of working in KSA or Middle East is required.

Qualifications:

• Bachelor’s degree in Business Administration, Finance, Economics or equivalent; Master’s is a plus.

• Certification in investment management (e.g., Certified Portfolio Manager, Chartered Financial Analyst) or accounting (e.g., Certified Public Accountant, Chartered Accounting) is a plus.



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