Обязанности:
An international long-only fund focusing on U.S. small- and mid-cap stocks is seeking a generalist buy-side analyst with a proven track record of academic or professional success. Ideally, candidates should have 1-3 years of experience across IB, PE, HF, or ER; however, candidates from all backgrounds will be considered. Responsibilities: Perform well-structured, in-depth, bottom-up fundamental research on specific companies to produce high-conviction investment ideas. Identify and thoroughly evaluate key valuation drivers, thematic views, industry trends, and idiosyncratic factors. Monitor company and industry events. Requirements: A demonstrated record of academic and professional achievement. Education from top international or Russian universities (МГУ, РЭШ, ГУ-ВШЭ, МГИМО, СПбГУ, МФТИ, МИФИ, МГТУ). Advanced financial modeling skills, including familiarity with GAAP and IFRS. Proficiency in valuation techniques such as DCF, comparable company analysis, precedent transaction analysis, and sensitivity and scenario analysis. Proficiency in MS Excel. English proficiency at B2 (Upper-Intermediate) level or above. A background in PE, IB, HF, or ER is preferred but not required. Ability to synthesize and communicate information effectively. A strong interest in public equity investing. Benefits: Base pay for this role is $1,000-2,000 USD + bonus. Opportunity to work directly with the PM. Remote working.