- Analyze the financial statements of potential investment targets and portfolio companies;
- Create and develop financial models to evaluate investments;
- Prepare financial presentation documents to potential and current investors on specific investments;
- Periodically analyze the financial statements of portfolio companies in order to identify the risks and rewards of investing in the financial instruments in question;
- Monitor the capital markets to identify the positioning of the evaluated company in both local and international markets;
- Make improvements to the investment strategy in line with the company’s strategy and develop the evaluation criteria for potential projects;
- Participate in the investment committee with other analysts and portfolio managers and prepare documents and reports related to investment activity;
- Update relevant information on internal and external economic trends and events, as well as the latest news from the financial markets;
- Comply with the standards of financial regulators;
- Maintain relations with certain institutions involved in the financial markets.