Primary responsibilities include performing comprehensive financial analysis, developing investment recommendations, conducting detailed research on market sectors, evaluating company performance, and generating insightful reports that inform investment decision-making processes for the Capital Return team.
Candidates must possess strong quantitative skills, a deep understanding of financial markets, proven experience in equity research, advanced analytical capabilities, proficiency in financial modeling, and the ability to synthesize complex financial data into actionable insights. A relevant advanced degree in finance, economics, or a related field is typically required.
SIG offers a competitive compensation package, opportunities for professional growth, exposure to cutting-edge financial technologies, a collaborative work environment, performance-based bonuses, comprehensive benefits, and the chance to work with a globally recognized financial research and trading firm known for its innovative approach to investment strategies.