Our Client is an international provider of research on infrastructure globally. Their research hub is based in Singapore, and their business centre is in Europe and America. They create and deliver exciting new data to the private infrastructure investment sector. The three main types of key customer they serve are asset owners, asset managers and investment consultants.
Perform research on trends, news, forecasts, politics, policy and leads to identify possible investment targets
Develop research and data products with a focus on asset management and the needs of investors
Create financial models, cash flow and balance sheet analysis.
Facilitate discussions with colleagues to gather and receive feedback on ideas and reports
Experience in the asset management industry with a focus on alternatives and real assets
Strong knowledge of investment practices (risk management, liability-driven investment) of pension plans and insurers
Bachelor's / Master's Degree in Finance
Strong command of theoretical finance concepts and methods including applications to risk and asset management, asset valuation, etc.
Proven track record of high-quality written work
Strong coding skills (R, Python) and quantitative skills is advantageous
Competitive salary and bonus package commensurate with the candidate's level of experience.
To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Breana Chua on +65 6541 9949.