The Research Analyst plays a critical role in analyzing financial markets and instruments to provide valuable insights that support investment decisions. This position requires strong analytical skills and the ability to evaluate equities and fixed income instruments effectively. The ideal candidate holds a master's or graduate degree in Finance from an accredited institution and has practical experience in financial modeling and quantitative research within asset management companies or financial institutions. Although this role does not involve managing a team, it demands a high level of accuracy, attention to detail, and the ability to communicate complex financial information clearly. The Research Analyst contributes to the development of financial models and conducts thorough market and statistical analysis to support portfolio management and investment strategies. This role involves gathering and interpreting market data, performing valuations, and assisting with the creation of reports and presentations for stakeholders. A good understanding of capital markets combined with strong quantitative research skills ensures the analysis is both precise and actionable, facilitating informed decision-making in the fast-paced financial sector.
Responsibilities

  • Analyze equities and fixed income instruments to assess their valuation and investment potential.
  • Develop and maintain financial models to support investment decisions and portfolio management.
  • Conduct market research and quantitative analysis to support financial forecasts and strategies.
  • Interpret complex financial data to generate actionable insights for stakeholders.
  • Prepare detailed research reports and presentations that clearly communicate findings and recommendations.
  • Monitor market trends and economic indicators to evaluate potential impacts on investment portfolios.
  • Support the investment team by providing timely and accurate research and analysis.
  • Collaborate with other analysts and departments to ensure comprehensive coverage of financial assets.
  • Maintain up-to-date knowledge of industry developments and regulatory requirements related to financial instruments.
  • Apply statistical analysis techniques to strengthen the accuracy and reliability of financial models.

Job Details

Total Positions:
1 Post
Job Type:
Job Location:
Gender:
No Preference
Minimum Experience:
2 Years
Apply Before:
Sep 07, 2026
Posting Date:
Aug 06, 2026

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