Banco Finantia recruit Portfolio Management Analyst

We are looking for a Portfolio Management Analyst to strengthen the Principal Investments Department at Banco Finantia:

Main Responsibilities:

  • Collaborate in the management of the Bank's own portfolio, ensuring the monitoring of the evolution of financial markets and the respective interest rate risks;
  • To follow the evolution of financial markets and the economic/political development of the target markets, through the analysis of market studies, indicators and trends, news monitoring and contact with national and international market makers;
  • To carry out the evaluation, preparation, execution and monitoring of operations in the areas in which the Department operates;
  • To ensure the preparation of management information (reporting) to support decision making.

Desired profile:

  • Degree in Management or Economics, with a Post-Bologna Masters completed;
  • Fluency in English;
  • Good knowledge of Spanish (preferable);
  • Solid knowledge of MsOffice (Excel, Word, Outlook, Power point);
  • Knowledge of Business Objects and Bloomberg (preferable);
  • Results-oriented;
  • Capacity for teamwork;
  • Capacity for initiative, method and organisation;
  • Availability to travel.

What we are offering:

  • Opportunity to join an international Bank with a relevant presence in the market;
  • Continuous training and the possibility of learning in a challenging professional context;
  • Good working environment.

Send us your CV to indicating the reference Ref PT/06/24 you are applying for.

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