Conducting market research for bank’s subsidiaries industries to identify industry trends, opportunities, threat in those industries
Monitoring and analyzing performance of Bank Mandiri’s portfolio of subsidiaries
Performing peer analysis for bank’s subsidiaries
Identifying and mitigating potential risks in the portfolio
Providing regular reports on portfolio performance and individual performance of the subsidiaries and providing follow up recommendation
Requirements
Have minimum 4 years of work experiences, and experienced in Asset Management or Investment Banking for at least 2 years
Financial modeling, data analysis, and Excel skills are essential
Strong analytical skills
Understanding of investment strategies, and financial industries trends
Corporate Finance and Portfolio Management
Deep understanding in Banking Industries, knowledge in other financial sector (insurance, multi-finance, etc) is preferable
Have CFA certification level 1/2/3 is an added value