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описание
No description
задачи
Build and regularly update detailed financial models for U.S. companies and prepare accompanying analytical materials;
Analyze sectors and industries, including macroeconomic and microeconomic factors;
Interact with representatives of issuing companies, including participating in teleconferences on corporate events;
Identify investment ideas in the U.S. stock market and collaborate with personal managers to present investment proposals;
Prepare timely comments for business media upon request;
Present at conferences and other Holding events.
требования
Bachelor’s or Master’s degree in Economics, Finance, or a related field;
Minimum 5 years of relevant experience in financial markets, including research, strategy, or analytics at a broker, bank, or asset management company;
Specialization in analyzing one of these industries: Biotech, Consumer Discretionary, TMT, Metals & Mining, Industrials;
Knowledge and understanding of US GAAP or IFRS reporting standards;
Advanced English, written and spoken, including professional financial terminology;
Experience with Bloomberg/FactSet or willingness to learn quickly;
Nice to have: Participation in the CFA program, a PhD degree.
условия
Competitive salary;
Freedom to make decisions and opportunities for career growth in a fast-developing international company;
Interesting and diverse tasks and projects that directly impact business and product development;
Work in a friendly and dynamic team of professionals;
Continuous learning, training, access to industry conferences, and corporate events;
Various benefits and unique offers on Freedom Holding Corp. products.