Deskripsi Pekerjaan
Job Descriptions:
- Industry Research & Analysis: Analyze market trends to identify investment opportunities and areas.
- Financial Modeling & Investment Evaluation: Build detailed financial models to evaluate the potential and risks of companies. You will assess key factors like business models, competitive landscape, with the ability to apply common forecasting methods.
- Ensure availability of industry research report: Particularly for industry with high concentration, higher risk and/or considered as monitored sector based on local as well as group rules.
- Portfolio Management: Collaborate with other teams to support portfolio companies in their fundraising efforts, business strategy, and growth. Also identify ways for the team to add value to portfolio companies.
- Exit Strategy: Assisting the BOD to support the team in planning and executing exit strategies and liquidity events. Develop an understanding of exit planning and participate in strategic discussions
Requirements:
- Graduates in Business/Finance or related field, a certification related to Finance is a plus (exp: CFA, CFP, WMI)
- Minimum 2-3 years experience with a Venture Capital/Private Equity/Investment Bank/Securities.
- Proficiency in financial modelling and building presentation decks, eager to do thorough research for investment portfolio.
- Strong time management and organization skills, with the stamina and agility to multitask in a fast-paced environment
- Analytical problem-solver with strong quantitative and financial analysis capabilities
- Fluency in MS Office especially MS Excel and PowerPoint
- Excellent written and verbal communication skills in English; Second language would be advantageous
- The ability to build and maintain successful relationships with colleagues across the firm, also external parties