Our client is a leading Investment Management firm, and we are hiring for an Investment Risk and Review Senior Associate/AVP to be based in Singapore.
We are keen to see candidates from Research, M&A, Portfolio Management, Valuations or related Front Office and/or Quantitative backgrounds who are keen to do a Risk based role. We are looking for candidates who have strong Financial Modelling, Valuations, Methodologies or related experience who have experience looking at Investments/Deals.
The main responsibilities of the Investment Risk and Review Senior Associate/AVP with the Investments firm:
Handle independent valuation of proposals and deals across a portfolio of companies
Handle company valuations; review and build financial models for valuations
Risk analysis and identify risk factors for investments
Stress Testing and Scenario analysis on risk and returns of a portfolio
Quantitative and qualitative assessment of risk and risk indicators
Monitor post investment financials and transactions
Work with Investment team on any deal cycles
Handle due diligence
This is an exciting chance to join a stable and reputable Investment firm as they expand their Risk team in Asia. We are looking for Buy Side candidates who are keen to pursue a career in Risk where they will get exposure to working closely with the Front Office.