Job Overview
Contribute to the fixed income strategy within the banks macro framework
Active coverage of selected mature market issuers
Internal and external presentations
Contribution to and maintenance of various research publications
Requirements:
-University Masters, Business School Masters or equivalent degree, preferably in economics, finance or business administration
-Multi – year experience and expertise in the analysis of banks and financial institutions
-Profound understanding of financial analysis of companies, credit analysis or equity research buy side
-Ability to work independently and to take initiative
-Self-motivated, well-organised, team-oriented and hands-on personality with the capability of coping with pressure and multiple tasks
-Excellent English language knowledge, further languages are an advantage
Job Detail
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GenderBoth
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INDUSTRYFinance
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QualificationMaster’s Degree