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Responsibilities: You will be reporting the Portfolio Manager you will be responsible for managing due diligence and the monitoring of current and prospective investments in and throughout Asia. You will need to conduct macro research, leading and contributing to product-related projects as well as liaising with companies’ top management independently. The ultimate goal would be for this individual to become a portfolio manager. The successful candidate must possess the following: • Minimum of 4-7 years of experience in buy side/private equity as an investment analyst OR sell-side research or alternative investments research with a strong focus on one of more of the following jurisdictions: Japan, Australia, India or Hong Kong/China market. • Excellent financial markets know-how and detailed understanding of various investment strategies, able to build bottom-up financial models. • Analytical mind-set and good quantitative skills with strong business sense. • Self-motivated team player, good communication skills with senior management of companies, well established network. • You must be fluent in English with fluency in one of the following Japanese, Hindi or Cantonese/Mandarin. Applicants please send your resume together with present and expected salary to png@morganmckinley.com in all confidentiality. Candidates not contacted within 4 weeks may consider their application for this role unsuccessful. Unless advised otherwise, unsuccessful candidates will be kept on file for future job opportunities. Your application may be forwarded to other international plc offices for recruitment purposes. Personal data collected will be used for recruitment related purposes only and all personal data of applicants will be kept in strict accordance to the Personal Data Privacy Ordinance.
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