Investment Analyst
Weiss Asset Management
📍 On-site
Category: Finance & AccountingSubcategory: Financial AnalystType: Full-time
Investment Analyst, Weiss Asset Management LP, Boston, MA (in-person)
Responsible for analyzing investment opportunities with a focus on mergers and acquisitions including researching new investment strategies and interpreting and analyzing complex financial data. Specific duties include the following:
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Performing economic and financial analysis of companies involved in M&A activities utilizing complex statistical and mathematical techniques and modeling, including analyzing complex financial documents and analyst reports, and assessing the probability and timing of potential mergers.
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Researching and developing analytical tools to assess potential M&A opportunities through the use of financial statistical software to build models predicting the likelihood, timing and probability of mergers and acquisitions.
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Employing advanced statistical, financial and numerical techniques to develop tools for evaluating M&A scenarios.
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Developing and maintaining relationships with counterparties to identify new M&A investment opportunities.
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Utilizing advanced statistical analytics to support the trading of securities to implement firm-wide M&A strategies, as well as financial strategy development.
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Utilizing advanced simulation modeling techniques to develop investment theses related to M&A activities.
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Applying econometric time series statistical techniques to forecast economic trends impacting M&A activities.
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Developing and validating detailed financial models, including running downside scenarios and reviewing financial projections.
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Clearly identifying and communicating the investment advantages and risk scenarios for each investment.
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Perform rigorous analysis on financial covenants and corporate structures incorporating analysis of credit indentures and ratings agency reports.
Requirements**:**
Position requires a bachelor’s degree (or an equivalent foreign degree) in Finance, Mathematics, Statistics or a closely related field and experience (which can include experience gained through academic course work, academic research projects and internships) with the following:
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Financial modeling techniques including discounted cash flow analysis, macroeconomic forecasting, and corporate finance valuation methods;
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Probability theory, statistical inference, linear regression, and stochastic processes applied to statistical models of investment;
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M&A probability and timing tools using statistical software including Python and R, as well as econometric techniques for forecasting; and
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Derivatives pricing and hedging strategies applied to equity and equity-linked securities in connection with investment strategies using Monte Carlo simulation and Black-Scholes option pricing models.
Position requires 5-10% domestic and international travel by air.
This is a full-time position requiring 5 days per week at the company's office in Boston, MA.
Salary is $135,000 to $200,000 per year for a 40-hour work week.
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Weiss Asset Management
WebsiteWe judge ideas by their merit, not their pedigree
Weiss Asset Management has spent over three decades creating proprietary, value-driven investment strategies aimed at achieving superior risk-adjusted returns for a diverse client base, including foundations, pension funds, and private investors. Managing around $4 billion in hedge funds and institutional portfolios, the firm emphasizes collaborative problem-solving and rigorous analysis to uncover undervalued assets. With a team of more than 130 professionals, Weiss Asset Management fosters a culture of integrity, rationality, creativity, and continuous development, welcoming candidates from varied backgrounds and promoting a flat organizational structure where merit and ethical conduct are paramount.