Research, academy Jobs in Kenya

9 jobs found

APA Life Insurance Limited

Research Analyst

Nairobi Kenya
IQVIA

Compliance Clinical Trials

Nairobi Kenya
Aga Khan Hospitals

Clinical Research Nurse, Clinical Research Unit

Nairobi Kenya
Kenyatta National Hospital

Breakthrough Program Research Officer

Nairobi Kenya
UN-Habitat

Intern - Research and Report Writing

Nairobi Kenya
Baker Hughes

Lab Technician

Nairobi Kenya
Busara Center

Field Officer - KE

Nairobi Kenya
International Livestock Research Institute (ILRI)

Research Officer II: Actuary

Nairobi Kenya
ICIPE

Research Assistant II

Nairobi Kenya

Get personalised job alerts directly to your inbox!

ICS - SP Africa

Research Assistant-Turkana – Lokichar

Lokichar Kenya
Closed for applications

Country / Region

Profession

Seniority (Research, academy)

© Fuzu Ltd

Research Analyst

Job details

Contract Type

Description


ACADEMIC QUALIFICATIONS

  • Bachelor’s degree in finance, Economics, Investment Analysis, Actuarial Science, or Commerce (with a finance focus). A master’s degree (MBA or MSc Finance) will be an added advantage.

PROFESSIONAL QUALIFICATIONS

  • Progress toward or completion of the CFA designation is strongly preferred.
  • CISI, ACI, or other relevant capital markets certifications are an added advantage.

EXPERIENCE

  • Minimum 2 years; relevant experience in investment research, buy-side or sell-side analysis, portfolio management support, or a closely related financial services role.
  • Demonstrated experience building financial models and producing written investment research.
  • Exposure to East African capital markets will be a significant advantage.


Responsibilities

Research & Market Intelligence

  • Monitor macroeconomic trends, market developments, and corporate actions of listed and unlisted companies across the investment universe.
  • Forecast short- and long-term macroeconomic indicators (GDP, inflation, interest rates, exchange rates), industry dynamics, and company-specific financial metrics with clearly articulated performance drivers.
  • Gather and synthesise market intelligence from primary and secondary sources to support client fund management decisions.
  • Review earnings releases, financial statements, and regulatory disclosures; attend analyst briefings and company management meetings.

Financial Modelling & Valuation

  • Build, maintain, and stress-test detailed valuation models (DCF, DDM, relative valuation, credit models) for equity and fixed-income instruments.
  • Assess the sensitivity of valuations to changes in key assumptions and macro drivers; communicate findings clearly to the Portfolio Manager and Investment Committee.
  • Conduct credit risk assessments for fixed-income instruments, including analysis of issuer financials, covenant structures, and default risk.

Investment Recommendations & Portfolio Support

  • Produce well-reasoned investment recommendations across equities, fixed income, private equity, offshore, and alternative asset classes for presentation to the Investment Committee.
  • Contribute to asset allocation strategy by developing model portfolio recommendations aligned with client mandates and risk parameters.
  • Monitor existing portfolio holdings and flag material developments that may necessitate position review.

Stakeholder Engagement & Reporting

  • Develop and maintain professional relationships with stockbrokers, sell-side analysts, company management teams, and other market participants.
  • Prepare and present research reports, investment notes, and client-facing materials to a high standard of clarity and accuracy.
  • Support periodic client reporting on fund performance, attribution, and market commentary.
  • Provide fund administration support on an ad-hoc basis and perform any other duties as assigned.


Start hiring with Fuzu

Recruit better talent faster - on your own or with our support.

Explore recruitment platform