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Senior Analyst
Location: Singapore Office
Company: ACG Management Pte. Ltd.
Language Requirement: Market-specific language proficiency relevant to the coverage universe (Japanese fluency is a strong advantage)
ACG Management Pte. Ltd. is a Singapore-based investment management firm specializing in fundamental long/short equity strategies. We operate a multi-manager platform with a strong focus on small- to mid-cap equities across selected markets. Our investment approach is driven by deep, bottom-up fundamental research and the identification of earnings surprises to generate alpha.
We are looking for a Senior Analyst with strong financial analysis capabilities and domain expertise in one or more equity markets. The specific market focus will be assessed based on the candidate's strengths, experience, and language capabilities.
Fundamental Research & Analysis
Conduct deep-dive, bottom-up research on listed companies within the assigned market coverage
Analyse financial statements, earnings releases, and corporate filings relevant to the coverage universe
Build and maintain detailed financial models to forecast company performance and valuation
Identify actionable long and short investment ideas through proprietary research
Monitor company developments, competitive dynamics, and macroeconomic trends impacting the coverage market
Communication & Market Insight
Attend earnings calls, analyst briefings, and company meetings relevant to the coverage market
Engage with company management, IR teams, and sell-side analysts in a professional and effective manner
Apply market-specific knowledge and cultural awareness to enhance research insights
Work closely with Portfolio Managers to develop, refine, and communicate investment theses
Strong analytical background with experience covering equities in at least one major market
Relevant language proficiency aligned with the coverage market (Japanese language capability is a strong advantage)
Bachelor's degree in Finance, Economics, Accounting, or a related field
Minimum of 2-5 years of experience in equity research, investment banking, or asset management more experienced candidates are welcome
Strong financial modelling and valuation skills (DCF, comparables, etc.)
Independent thinker with attention to detail and a strong interest in fundamental investing
Familiarity with research tools such as Bloomberg, Capital IQ, and financial databases is a plus
Be part of a fundamental, research-driven investment firm with a differentiated strategy
Work in a collaborative and intellectually rigorous environment
Play a key role in generating alpha through fundamental stock selection
Gain exposure to a broad range of companies across selected markets, based on your expertise
Job ID: 136658881