Banking, microfinance, insurance Jobs in Kampala, Uganda

1

jobs

Standard Bank Group

Analyst, Research

Kampala, Uganda

NIC Holding Ltd Uganda

CLOSED

2 Drivers

Kampala, Uganda

DFCU Bank

CLOSED

Business Manager – CIB

Kampala, Uganda

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Ecobank Uganda Limited

CLOSED

Head Commercial Banking

Kampala, Uganda

Analyst, Research

Closing: May 24, 2024

10 days remaining

Published: May 13, 2024 (1 day ago)

Job Requirements

Education:

Work experience:

Language skills:

Job Summary

Contract Type:

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To research and evaluate possible risks and potential returns on investments and other financial transactions, enabling SBG

asset management invest clients' financial assets effectively. Responsible for providing research information and credit analyses

on counter parties. Responsible for providing research information on the economy (global & local) and valuation and analyses

on listed companies and alternative investments. Provide support to the portfolio managers.


Requirements

Minimum Qualifications:

Type of Qualification: Bachelors

Field of Study: Finance and Accounting/ Finance related field 

Experience Required:

Investment Management

Asset Management 1-2 years.

The role require at least 2 year experience in securities industry or investment

banking

 Asset Management/Research experience preferable


Responsibilities

To research and evaluate possible risks and potential returns on investments and other financial transactions, enabling SBG

asset management invest clients' financial assets effectively. Responsible for providing research information and credit analyses

on counter parties. Responsible for providing research information on the economy (global & local) and valuation and analyses

on listed companies and alternative investments. Provide support to the portfolio managers.


Requirements

Minimum Qualifications:

Type of Qualification: Bachelors

Field of Study: Finance and Accounting/ Finance related field 

Experience Required:

Investment Management

Asset Management 1-2 years.

The role require at least 2 year experience in securities industry or investment

banking

 Asset Management/Research experience preferable


  • Provide credit, stock analyses of all counter parties for potential investment.
  • Monitor and update Team on the: -Secondary market activities and offerings, Trends on equity prices, -Local, Regional and Global economies, -General company news of interest
  • Prepare reports for internal meetings (Investment Committee), Regulatory and other stakeholders reports
  • Ensure that effective risk management and mitigation activities are undertaken at all times, achieved by aligning Portfolios with the investment mandate and adhering to regulatory codes and requirements.
  • Accurately input financial/non-financial data and perform a first level investment analysis on Issuers.
  • Maintain and update Fund Solutions model portfolios and assist with due diligence process on third party funds, including rebalancing of portfolios based on investment policy and client instruction.
  • Prepare monthly factsheets for designated Fund classes, monthly reports for Models and Money Market Funds.
  • Process and accurately complete day to day general management and trade execution duties relevant for assigned Fund Classes by recording information in the system, attaining appropriate authorisations and ensuring that all timelines and restrictions are met.
  • Write research reports, projections, recommendations, various types of investment notes, sector and / or country reviews and thematic and periodical publications concerning companies and stocks to consistently provide actionable insights and conviction ideas for use in client and internal engagements, to enable clients to uncover longer-term value drivers for stocks.


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