Responsibilities: Support investment managers throughout the whole investment life cycle (i.e., Sourcing, execution, as well as post-investment management) on transactions covering diverse asset class (i.e., traded securities, mezzanine financing, secondary private equity, and NLPs)Conduct thorough research and analysis for equity, debt, and various structured transactions to assess potential investment opportunities Evaluate investment prospects, including analyzing financial statements, assessing creditworthiness, and conducting due diligence on potential investments.
Prepare detailed investment reports, presentations, and other documentation to effectively communicate investment recommendations Stay updated on industry trends, regulatory changes, and market developments to enhance investment strategies Provide comprehensive support for fund management activities, encompassing various responsibilities such as marketing, handling client data, and addressing information requests.
Qualification: University graduate with knowledge in accounting & corporate finance Proficiency in Microsoft Excel, Power Point.
Basic knowledge in VBA will be advantageous Demonstrate fervent enthusiasm for the investment and fund management industry, as well as deep industry curiosity for business and current affairs Solid analytical skills with the ability to perform in-depth financial analysis and due diligence Strong attention to detail and ability to handle multiple tasks and deadlines simultaneously Excellent communication and presentation skills to convey complex investment concepts effectively.