Our Culture
We recognize employees as our greatest asset. We strongly believe that “Happy employees make Investors happy”. We have built a strong culture of trust, mutual respect and empowerment that fosters growth and ownership among all our employees. Our HR policies are suited to the current needs of a vibrant organization allowing employees flexibility, transparency and merit based growth. Our senior management is always accessible to encourage communication and feedback from all employees.
OUR VALUES
Bank of India Mutual Fund is committed to becoming a dependable and reliable asset management company for its investors. It will strive for excellence in product performance and expanding our family of happy investors.
Job Description Perform Research on assigned Sectors from an investment perspective by preparing business forecasts and valuation models. Reporting to: Chief Investment Officer (CIO) Role & Responsibilities Analyze companies within assigned sectors from an investment perspective by preparing business forecasts and valuation models Conduct in-depth research on various asset classes, industries, and market trends to identify investment opportunities and risks. Keep abreast with sector trends, make an assessment of the impact on individual companies and fund portfolios, and inform fund managers in a timely fashion Monitor and track the performance of existing investments in the portfolio and provide regular reports and updates to the investment team. Meet company managements, attend analyst meets, conference calls, interact with sell-side Research Analysts and peer group Identify investment opportunities in assigned industry sectors and make appropriate portfolio recommendations Develop, maintain and improve valuation screens for sectors assigned – with a view to identifying investment opportunities ahead of competition Prepare research reports and investment recommendations for use by internal stakeholders and clients. Will be responsible for providing multi sector research inputs to the CIO and Fund Managers. Qualification & Skillsets MBA (Finance) / CA / CFA is preferred Minimum Graduation Industry : Financial Services Job Locations : Mumbai Traits Required: Strong financial modelling skills, knowledge and application of business valuation theories. Person should be self-motivated, ambitious, dynamic, and demonstrating the ability to work within a multicultural team. A prior equity research background will be an added advantage. Excellent verbal and written English communication and presentation skill. Should be an organized person. Who can apply : MBA freshers from Tier-1 B-Schools OR 2-3 years post qualification experience relevant to the Research Analyst role. Salary & Benefits offered: To be discussed during interview. Gender: No preference Age: 21-30 years old