Requires a Bachelors degree, or foreign equivalent, in Economics, Business Administration, Finance or a closely related quantitative field and 5 years of progressive, postbaccalaureate experience as a Financial Analyst, Treasury Risk Analyst, Product Manager or related position involving Equity Research or Financial Accounting, financial modelling and valuation for the financial services industry. 5 years of required experience must include Financial accounting and advanced understanding of financial statements, including analysis of income statements, balance sheets, and cash flow statements; Financial markets, specifically, equity markets; Financial modelling and valuation, such as discounted cash flow model approach; Financial risk management, regulations, and risk governance; Economic analysis and market drivers, as they impact the economy and financial markets; Use Excel to perform the analysis mentioned above. At least 1 year must include Analysis of price to earnings, enterprise value to earnings before interest, taxes, and depreciation as well as return on invested capital to weighted average cost of capital; Sensitivity analysis; Use of data providers including Bloomberg to obtain the data needed for analysis. Proof of full vaccination against COVID 19 required prior to commencing employment.
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