For our office in Singapore we are looking for a
Analyst, Investment & Portfolio Management (f/m/d)
Your responsibilities
- Independent creation, testing and further development of integrated financial models in the modelling language FAST Standard at the asset and holding structure levels of the Group
- Creation of profitability analyses, profitability calculations, sensitivity analyses and stress tests
- Support senior members of the Investment team in the development of the investment strategy alongside
- Active involvement in the analysis of acquisition and due diligence documentation as well as support in the preparation of internal and external documents (external bids, decision documents, business cases, financial reports and prospectuses)
- Actively work with internal functions (e.g. risk, legal, tax & accounting) to ensure successful investment execution
- Assist with management of ongoing project development activities with local partners and service providers
- Effectively work with external counterparties to evaluate, structure, and finance both existing and new investments
- Any other related duties as assigned.
Your qualifications
- University degree ideally with a focus on Corporate Finance, Economics or Engineering
- In-depth knowledge of best practices in financial modelling and continuous readiness for further training in this area, especially in the modelling language FAST Standard
- First years of professional experience in financial modelling (e.g. with an investment manager, fund, corporate finance advisor or auditing company)
- Strong analytical and interpersonal skills
- Precise and reliable working methods coupled with a high degree of independence, implementation strength and flexibility
- Good knowledge of MS Office, especially Excel and PowerPoint; knowledge of programming language or capital market platforms (e.g. Reuters, Bloomberg) is a plus
- Fluency in English is mandatory. Other languages, in particular Mandarin, Korean, Vietnamese, Tagalog, Bahasa or Japanese, are an advantage