Purpose of the Role To undertake research and analysis of the local and global Financial Markets and of selected companies so as to inform Investment Decisions and other Strategic Company Decisions. Key Responsibilities Key responsibilities for the position are as hereunder: Lead market research across equities, fixed income, and alternative investments Oversee research on sectors, companies, and macroeconomic trends Provide insights and outlook on the bond market, including interest rate trends Contribute to investment strategy development and decision-making Supervise and mentor Investment Analysts Prepare and present market reports and investment recommendations Represent the firm in investor meetings and market engagements Oversee investment data management and ensure data accuracy Maintain databases on markets, securities, and economic indicators Work closely with risk and compliance teams to ensure regulatory adherence Qualifications, Experience, and Competencies Qualified candidates are expected to possess the following University Degree in a Business – Related course CFA/CIFA Charter or actively pursuing the CFA/CIFA/ program. Strong research, analytical skills and problem-solving skills, Excellent presentation skills Self-driven individual who is growth oriented with high level of integrity and Ability to network in the investment Industry. Excellent writing and communication skills 4 – 7 years’ experience in the Investment Industry