Extract and prepare insightful financial content from sell-side research using a mix of extraction technologies and sector knowledge.
Analyze diverse business models for publicly listed companies and surface key modeling approaches.
Conduct thorough data quality checks to ensure accuracy and reliability.
Collaborate within the team to optimize and enhance data collection processes.
Communicate findings effectively with stakeholders across the organization.
Incorporate changes in sell-side models to maintain consensus estimates for companies under a specific sector.
Highlight errors in models to improve the basic inputs of decision making for the investing community.
Requirements
Post Graduates
MBA, M.Com, CFA L1 preferred
Graduate with CFA L2 cleared
Experience in the application of basic concepts like valuation, financial statements, GAAP/Recurring income, ratio analysis.
Should enjoy breaking down and interpreting financial models of a company to understand the basic building blocks of a company’s business model.
Demonstrated experience in creating consensus models would be a plus.
Benefits
Health & Wellness: Health care coverage designed for the mind and body.
Flexible Downtime: Generous time off helps keep you energized for your time on.
Continuous Learning: Access a wealth of resources to grow your career and learn valuable new skills.
Invest in Your Future: Secure your financial future through competitive pay, retirement planning, a continuing education program with a company-matched student loan contribution, and financial wellness programs.
Family Friendly Perks: It’s not just about you. S&P Global has perks for your partners and little ones, too, with some best-in class benefits for families.
Beyond the Basics: From retail discounts to referral incentive awards—small perks can make a big difference.