Financial Analyst
Job details
We are currently seeking a skilled Financial Analyst to join our team in Dubai, UAE. As a Financial Analyst, you will play a crucial role in analyzing financial data, evaluating investment opportunities, and providing valuable insights to support decision-making processes. This position requires strong analytical skills, financial modeling expertise, and a deep understanding of the finance industry. Key Responsibilities:
- Financial Analysis: Conduct in-depth financial analysis, including financial statement analysis, ratio analysis, and trend analysis. Evaluate financial performance, identify key drivers, and assess the financial health and stability of companies.
- Investment Research: Perform comprehensive research on potential investment opportunities, including stocks, bonds, and other financial instruments. Analyze industry trends, company fundamentals, and macroeconomic factors to assess investment risks and opportunities.
- Financial Modeling: Develop and maintain financial models to evaluate investment opportunities, forecast financial performance, and assess the impact of various scenarios and assumptions. Ensure accuracy and integrity of financial models.
- Due Diligence: Conduct due diligence on potential investments, including analyzing historical financial data, assessing valuation metrics, and evaluating risk factors. Prepare investment reports and recommendations for management or clients.
- Reporting and Presentations: Prepare financial reports, presentations, and investment memos to communicate findings, recommendations, and insights to stakeholders. Present analysis and recommendations to management, clients, or investment committees.
- Market Research: Stay updated with market trends, economic indicators, and regulatory changes. Monitor industry developments, competitor activities, and market news to provide insights on market conditions and potential impacts on investment strategies.
- Risk Assessment: Assess investment risks and develop risk management strategies. Identify and evaluate key risk factors, such as market risk, credit risk, and operational risk. Provide recommendations to mitigate risks and optimize investment performance.
- Collaboration and Communication: Collaborate with cross-functional teams, including portfolio managers, research analysts, and traders, to contribute to investment decision-making processes. Communicate effectively with internal stakeholders and external clients.
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