Description:
This role will support the Bank’s investment activities through financial and market analysis, investment research, portfolio monitoring, and transaction follow-up. The successful candidate will work closely with internal teams and external market participants to support effective investment decisions and ensure accurate and timely execution of investment activities.
Key Responsibilities:
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Conduct financial, market, and investment analysis to support investment decision-making.
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Conduct investment research and monitor market trends and relevant financial instruments.
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Monitor investment portfolios, performance, exposures, and market developments.
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Monitor investment transactions, including purchases, sales, dividends, corporate actions, and settlements.
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Coordinate with brokers, financial institutions, custodians, and other relevant counterparties.
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Prepare regular investment and portfolio performance reports for management.
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Ensure accurate and timely reporting in line with internal policies and applicable regulatory requirements.
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Maintain appropriate records and documentation related to investment activities.
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Support the Investment Department in other analytical and operational activities as required.
Qualifications & Requirements:
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Bachelor’s degree in finance, Economics, Banking, Business Administration, or a related field.
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Up to 3 years of relevant experience in investments, treasury, financial markets, banking, or a related field.
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Strong financial and data analysis skills with a good understanding of financial markets.
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Strong analytical and problem-solving abilities.
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Excellent attention to detail and accuracy.
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Very good communication, coordination, and follow-up skills.
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Good command of Microsoft Excel and financial analysis tools.
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Ability to work effectively in a team and under deadlines.
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Strong willingness to learn and develop a career in investment and financial markets.