Financial Analyst

Academy Education Network Ltd

Warwick (RI)

On-site

USD 70,000 - 120,000

Full time

14 days+

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Job summary

Academy Education Network Ltd. is looking for a talented Financial Analyst to model and interpret financial data for investment, lending, or business decisions. This data-heavy role involves building financial models, conducting equity and commodity research, and working alongside leading investment banks, asset managers, and corporate teams.

The ideal candidate has a graduate degree in finance, relevant analytical skills, and strong attention to detail under pressure. This position offers competitive compensation and rapid career advancement opportunities.

Qualifications

  • Graduate degree in Finance, Investment Management, or Financial Economics preferred.
  • CFA Level 1 and 2 completion recommended.
  • Previous experience in financial analysis is advantageous.

Responsibilities

  • Build financial models for valuations and capital-raising deals.
  • Conduct research against company financial filings.
  • Specialise in investment banking or asset management.

Skills

Attention to detail under deadline pressure
Clear written and verbal communication
Stakeholder management with senior bankers and clients
Resilience over long hours
Commercial curiosity
Ethical decision-making

Education

MSc Finance
ACA, ACCA or CFA qualifications
CFA self-study
Level 4 Investment Operations apprenticeship

Job description

Financial Analysts collect, model and interpret financial data to inform investment, lending or business decisions. In an investment bank, analysts build DCF and LBO models for M&A pitches and IPOs. In an asset manager, analysts cover a sector of listed companies and feed buy/sell views to portfolio managers. In a corporate FP&A team, analysts forecast revenue and cost performance against budget. The role is data‑heavy, fast‑paced and competitive, but pays well above the UK graduate‑job average and progresses quickly.

Key responsibilities
  • Build financial models for valuations, M&A and capital‑raising deals
  • Run equity, fixed‑income or commodity research against company filings
  • Specialise into investment banking, asset management, equity research, corporate FP&A
  • Work for investment banks, asset managers, hedge funds, corporates and Big 4 advisory
UK salary ranges

Financial analyst pay varies dramatically by sector and employer. Investment banks (Goldman Sachs, Morgan Stanley, JPMorgan) pay the top of market – £55,000–£70,000 base in Year 1 plus 30–80 % bonus. Asset managers (BlackRock, Schroders) pay £45,000–£55,000 base with smaller bonuses. Corporate FP&A and Big 4 advisory analysts start at £35,000–£45,000. London dominates the market, with additional hubs in Edinburgh, Manchester, Leeds and Bristol offering lower base pay commensurate with lower living costs.

Typical career progression
  • Years 0–2: Analyst – graduate intake; build modelling skills, learn industry, complete CFA Levels 1 and 2.
  • Years 2–4: Senior Analyst / Associate – lead transactions or full sector coverage; CFA Charter typically completed by Year 4.
  • Years 4–7: Vice President / Senior Associate – manage a team, own a client relationship or sector; bonus uplift increases.
  • Years 7+: Director / Portfolio Manager – P&L responsibility, deal origination or fund management; path to Managing Director or buy‑side exit.
Typical entry routes
  • MSc Finance – 1 year postgraduate degree in Finance, Investment Management or Financial Economics.
  • Big 4 graduate scheme + qualification – 3 years to qualify as ACA, ACCA or CFA.
  • Self‑study CFA – 3 levels + 4 000 hours of work experience; breaks into asset management and research roles.
  • Apprenticeship programmes – Level 4 Investment Operations or Level 6 Financial Services Professional.
Skills you’ll need
  • Attention to detail under deadline pressure
  • Clear written and verbal communication
  • Stakeholder management with senior bankers and clients
  • Resilience over long hours, especially in investment banking
  • Commercial curiosity and reading the financial press
  • Ethical decision‑making and conflict‑of‑interest awareness
Key employers by sector
  • Investment banks: Goldman Sachs, Morgan Stanley, JPMorgan, Barclays, HSBC, Lloyds
  • Asset managers: BlackRock, Schroders, Aberdeen, Legal & General, M&G, Fidelity, Vanguard, abrdn
  • Big 4 advisory: Deloitte, EY, KPMG, PwC – Transaction Services, Corporate Finance, M&A, Valuations, Restructuring
  • FTSE 100 corporates (in‑house FP&A): Unilever, Shell, BP, AstraZeneca, GSK
  • Hedge funds & private equity: Citadel, Millennium, Marshall Wace, CVC, Apax, Bridgepoint
  • Equity research houses: Redburn, Bernstein and large bank research desks
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