Equity Research Analyst - European Asset Manager - ACA wanted
- Employer
- Greenwich Partners
- Location
- London, United Kingdom
- Salary
- Excellent
- Closing date
- Dec 4, 2024
View more categoriesView less categories
- Job Function
- Portfolio Management: Equities
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Equity research analyst, European Asset Manager, ACA wanted
This leading European asset management firm is looking to add an Equity Research Analyst to their London team. The role will focus on European equities.
The fund has a long - only equities investment style and is recognised as one of the top performing asset managers in their class They take a bottom up, fundamental investment approach with decisions impacted by economic, market and sector analysis.
The position will work closely with the Portfolio Managers on stock equity research, meeting with the management of companies, writing investment papers, detailed financial analysis, modelling and valuations, and analysis of the existing holdings.
The successful candidate will be a recently qualified ACA with a leading accounting firm with a real interest in investing. You will probably have a 1st or 2.1 in Science, Maths or Economics based subject, and excellent financial analytical skills.
The first interview will be heavily focused on the global economy and financial markets and applicants should be prepared for this.
This is an incredibly rare opportunity for an ACA to move straight into a successful buy side firm.
This leading European asset management firm is looking to add an Equity Research Analyst to their London team. The role will focus on European equities.
The fund has a long - only equities investment style and is recognised as one of the top performing asset managers in their class They take a bottom up, fundamental investment approach with decisions impacted by economic, market and sector analysis.
The position will work closely with the Portfolio Managers on stock equity research, meeting with the management of companies, writing investment papers, detailed financial analysis, modelling and valuations, and analysis of the existing holdings.
The successful candidate will be a recently qualified ACA with a leading accounting firm with a real interest in investing. You will probably have a 1st or 2.1 in Science, Maths or Economics based subject, and excellent financial analytical skills.
The first interview will be heavily focused on the global economy and financial markets and applicants should be prepared for this.
This is an incredibly rare opportunity for an ACA to move straight into a successful buy side firm.
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