Global Investment Management, Research Analyst, APAC ex JPN Financials, Executive Director, Hong Kong
Location: HK-Hong Kong-Hong Kong-Chater House / 03761
JPMorgan Asset Management ("JPMAM") provides investment management products and services to institutional and individual investors worldwide. It offers the full spectrum of investment strategies - from equity, cash management, fixed income, currency and asset allocation to alternative asset classes such as private equity, real estate and hedge funds.
Global Equity Research provides investment management capabilities to institutional and retail clients, based on proprietary, fundamental research implemented by portfolio managers. Dedicated research analysts produce long-term forecasts for the companies in their sector; portfolio managers use these insights to construct portfolios for our clients.
The Global Equity Research team is looking for a Research Analyst to cover Asia ex-Japan Financial companies including Australian, Hong Kong, and Singapore-listed banks, insurance and financial service companies. The main responsibilities of this position would include:
Research companies and industries. Cover the given universe of companies.
Forecast income statement, balance sheet, and cash flow items for near-term and normalized periods.
Make relative valuation comparisons and investment recommendations to portfolio managers.
Participate in managing regional and global analyst funds.
Communicate and collaborate with the global network of JPMIM analysts.
Strong understanding of financial markets and securities valuations
Buy-side experience preferred
Strong spreadsheet modeling and forecasting skills
Ability to distinguish between essential and nonessential information
Excellent oral and written skills.
Ability to work effectively with colleagues based in New York, London and Tokyo
At least seven years of relevant experience analyzing companies in the Financial Services industry
Educational background: CFA
This role can be based in Singapore or Hong Kong.
- CFA Level III / CFA Charterholder
- Asset Allocation
- Balance Sheets
- Cash Flow Management
- Cash Management
- Fixed Income
- Hedge Funds
- Investment Management