Job Location:

Aleppo, Syria

Reporting To:

Works under the supervision of the Financial Manager or Portfolio Manager

Job Summary:

The Financial Analyst serves as the mastermind behind the company’s investment decisions, integrating advanced quantitative skills with a strategic understanding of financial markets. The analyst is responsible for analyzing financial data and risks to provide strategic insights that support sound and effective investment decisions.

Key Duties and Responsibilities

  1. Financial and Investment Analysis
    • Conduct quantitative and qualitative analysis of companies and markets.
    • Evaluate the financial performance of potential investments.
    • Build financial models such as DCF (Discounted Cash Flow) and Valuation Multiples.
    • Monitor macroeconomic indicators and assess their impact on the investment portfolio.
    • Utilize advanced techniques such as artificial intelligence and machine learning for data analysis and financial forecasting.
  2. Support for Investment Decision-Making
    • Prepare buy/sell/hold recommendations for securities based on financial analysis.
    • Analyze various market sectors and identify suitable investment opportunities.
    • Provide strategic investment insights to portfolio managers to support decision-making processes.
  3. Report and Research Preparation
    • Write analytical reports on company performance, the financial sector, and the broader market.
    • Prepare presentations for senior management and clients, offering clear strategic insights.
    • Periodically update financial databases to ensure data accuracy.
  4. Performance Monitoring
    • Analyze portfolio returns against market benchmarks.
    • Periodically evaluate investment performance and provide recommendations for improvement.
    • Identify market patterns and trends to guide future investment strategies.
  5. Compliance and Oversight
    • Ensure investment recommendations and decisions comply with the company’s internal policies.
    • Review and assess regulatory requirements for investments to ensure compliance with local and international laws.

Required Skills and Qualifications

  1. Academic Qualifications
    • University degree in Finance, Economics, Accounting, or Business Administration.
    • Professional certifications (preferred):
      • CFA (Chartered Financial Analyst).
      • FRM (Financial Risk Manager) for those specializing in investment risks.
      • MBA with a focus on Finance.
  2. Technical Skills
    • Advanced proficiency in Excel (Pivot Tables, Solver), Power BI, and other analytical tools.
    • Experience using platforms such as Bloomberg, Reuters, and FactSet for financial data analysis.
    • Deep understanding of financial valuation concepts and forecasting models.
    • Strong knowledge of international accounting standards (IFRS/US GAAP).
  3. Personal Skills
    • Exceptional analytical abilities: the capacity to interpret and analyze financial data and make evidence-based decisions.
    • Attention to detail and accuracy: high ability to ensure precision in data and analysis.
    • Strong written and verbal communication skills: delivering reports and presentations clearly and accurately to management and clients.
    • Time management under pressure: working efficiently under tight deadlines and achieving performance goals.
    • Ability to work within a multidisciplinary team: collaborating and coordinating with diverse teams to achieve successful investment outcomes.

Work Environment

  • Work in a dynamic environment involving interaction with multidisciplinary teams.
  • Potential travel to study target markets and gather field data.
  • Preparation of presentations and workshops for investors and decision-makers.

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