Investment Specialist


Job Location:

Karachi - Pakistan

Monthly Salary: Not Disclosed
Posted on: 30+ days ago
Vacancies: 1 Vacancy

Job Summary

Requirements:

  • Bachelors degree in Finance Economics Accounting Business Administration or a related field.
  • CFA (completed or in progress) will be an advantage.
  • 3 years of relevant experience in investment analysis preferably within mutual funds asset management companies brokerage houses or investment firms.
  • Exposure to large equity or multi-asset portfolios in an institutional or professional setting.
  • Strong understanding of financial markets and equity investment strategies.
  • Proficiency in financial modeling and valuation techniques (DCF comparable company analysis etc.).
  • Strong analytical research and quantitative skills.
  • Working knowledge of portfolio construction concepts including position sizing and risk-return trade-offs.
  • Familiarity with risk monitoring practices such as drawdown tracking and exposure analysis.
  • Good communication skills with the ability to clearly present investment insights and recommendations.
  • Comfortable working in a fast-paced performance-driven environment.

Responsibilities:

  • Support the management and analysis of equity or multi-asset portfolios.
  • Conduct detailed financial analysis including company fundamentals industry trends and market positioning.
  • Build and maintain financial models and perform valuations using standard methodologies (DCF comps etc.).
  • Develop investment recommendations (buy/hold/sell) based on thorough research and analysis.
  • Assist in identifying and evaluating investment opportunities across listed equities and other instruments.
  • Contribute to portfolio construction including position sizing and diversification considerations.
  • Monitor portfolio risk by tracking drawdowns exposures and key risk indicators.
  • Track portfolio performance and highlight insights or areas for improvement.
  • Stay updated on macroeconomic trends sector developments and market movements.
  • Support portfolio rebalancing activities based on changing market conditions.
  • Prepare clear and concise investment reports dashboards and presentations for internal stakeholders.
  • Ensure adherence to internal investment guidelines and risk frameworks.
Requirements: Bachelors degree in Finance Economics Accounting Business Administration or a related field.CFA (completed or in progress) will be an advantage.3 years of relevant experience in investment analysis preferably within mutual funds asset management companies brokerage houses or investment...