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METRO

Equity Research Associate

MayTech Global Investments

New York, United States · Jornada completa

Sé el primero en postularte

Experiencia
Cualquier
Salario
Vacantes
1
Al corriente
Hace 2 horas
Modo de trabajo
En la oficina
Educación
licenciatura
Elegibilidad
Candidates with a bachelor’s degree in Finance, Economics, Accounting, or a related field who have strong analytical and financial modeling skills, an interest in equity markets and global growth investing, and a willingness to keep learning can apply.
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Se requiere solicitud

Dónde trabajarás

Descripción del trabajo

Company Overview

MayTech Global Investments is an independent investment management firm owned by its employees. The firm focuses on global growth-oriented portfolios for both institutional and individual investors. Its workplace emphasizes teamwork, rigorous research, disciplined decision-making, intellectual curiosity, and a long-term investment mindset.

Role Overview

The Equity Research Associate will assist the investment team by conducting in-depth fundamental analysis of global listed companies. This position involves reviewing company financials, creating valuation models, tracking sector and industry developments, preparing investment research materials, and helping identify attractive new investment ideas. The associate will work alongside portfolio managers and analysts in a dynamic, collaborative setting to support investment decisions.

Key Responsibilities

Support the investment team with equity research across global markets.

Assess financial statements and convert findings into actionable insights.

Develop and maintain financial models and valuation frameworks.

Track industry and market trends that may affect portfolio positions or new opportunities.

Prepare clear, well-structured research notes and investment presentations.

Help surface potential investment opportunities for review by portfolio managers.

Partner closely with portfolio managers and analysts in a fast-moving team environment.

Qualifications and Skills

The ideal candidate should hold a bachelor’s degree in Finance, Economics, Accounting, or a closely related subject. Strong capability in analytical thinking, financial modeling, and Microsoft Excel is essential. A solid grasp of financial statements, valuation methods, and equity markets is also important.

Excellent written and spoken communication skills are required, along with strong attention to detail and the ability to juggle several assignments at once. Familiarity with Bloomberg, FactSet, or comparable market research tools is considered an advantage. Progress toward the CFA designation is also a plus. Candidates should genuinely enjoy global growth investing and be committed to ongoing learning.

Compensation and Benefits

This role offers competitive pay, along with a bonus and benefits package. Additional benefits include a 401(k), paid time off, and health insurance. The position also provides direct mentorship from experienced portfolio managers, hands-on exposure to investment research and portfolio management, and the opportunity to grow within a collaborative, entrepreneurial environment.

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