Investment Associate

Perfil do Empregador

Cadillac Fairview (CF) is a globally focused owner, operator, investor, and developer of best-in-class real estate across retail, office, residential, industrial and mixed-use asset classes. Wholly owned by the Ontario Teachers’ Pension Plan, CF manages in excess of $35 billion of assets across the Americas and the United Kingdom, with further expansion planned into Europe and Asia.

Internationally, CF invests in communities with like-minded partners, including Stanhope in the UK, Lincoln Property Company in the U.S., and Multiplan in Brazil. The company’s Canadian portfolio comprises 68 landmark properties, including the Toronto-Dominion Centre, CF Toronto Eaton Centre, Tour Deloitte, CF Carrefour Laval, CF Chinook Centre and CF Pacific Centre.

Continually striving to make a positive impact in communities where it operates by promoting social connection, growth, and a sustainable future, CF’s Purpose is Transforming Communities for a Vibrant Tomorrow. Learn more at cadillacfairview.com and follow CF on Instagram.

Responsabilidades de Trabalho

Under minimal supervision, the Investment Associate provides advanced technical expertise through conducting highly complex analyses and modelling of data and developing related reports and recommendations to support Investments in all of its initiatives.

  • Complex underwriting of real estate investment opportunities (acquisitions/dispositions) for both asset and corporate level transactions and perform asset and market due diligence
  • Participates in the execution of real estate and real estate-related acquisitions and dispositions, including due diligence processes
  • Assists in the development and management of financial models for investments, joint ventures, scenario analysis and financing
  • Participates in the research, analysis and execution of strategic initiatives
  • Assists Director in coordinating and leading transactions, including due diligence processes

Qualificações

  • Demonstrated track record of successfully working in a team oriented environment
  • Solid grounding in financial concepts, corporate finance and valuation
  • Thorough knowledge of due diligence and transactional processes
  • Self-motivated individual with a strong work ethic and a high level of attention to detail
  • Fluent in both Portuguese and English and strong written and verbal communication skills in both languages; Spanish language skills an asset
  • Ability to work well under pressure with multiple or competing deadlines
  • Demonstrated ability to develop working relationships with both internal and external clients
  • Strong project management skills

What you need to succeed:

  • Graduated in a related discipline from a top tier school with top academic credentials
  • Possession of, or working towards, a MBA, LLB, CA or CFA an asset
  • Minimum of 3 - 5 years of experience in a multi-sector real estate, private equity or investment banking firm in an investment, valuation and/or asset management capacity
  • Highly proficient in Microsoft Excel (financial modeling) and ARGUS valuation DCF software
  • Position involves international travel, including to Canada, Mexico, Colombia and other countries in LatAm

Contato

Link da vaga: https://www.linkedin.com/jobs/view/2767890786/

Research Intern, RJ

Perfil do Empregador

Hashdex is crypto-focused asset manager with offices in Brazil and the United States. We were founded to bridge the gap between traditional financial markets and crypto, and to solve a problem we were having—we wanted a way to own beta on the crypto asset class. We make crypto investing easy with simple, secure, regulated funds. We are now the largest crypto asset manager in Latin America, where we weren’t the first to market, just the best.In 2021, we launched the world’s first crypto index ETFs in Bermuda and Brazil. HASH11 is now the third largest ETF by investors in Brazil, across all asset classes. Prior to launching the HASH11 fund, we completed one of the largest Series A raises in Latin American history, led by Valor Capital and supported by Softbank and Coinbase Ventures, among others. Having demonstrated product market fit with our index fund approach, we are now expanding to the USA, where we recently announced an exclusive partnership with Nasdaq and Victory Capital Management.To deliver on our mission to bring the best crypto investment products to the most people, we are building a headquarters in the USA. And to build, we need great people. We look for people with low egos, and high energy. Curious minds, open hearts, and a laser focus on what’s best for the customer.

We are looking for a high-energy technology/investment individual willing to drive the crypto revolution. As a research intern at Hashdex you will learn how to perform in-depth analysis of current and new trends in the crypto space, develop core expertise not only in the major protocols (such as Bitcoin and Ethereum) abut also in notable emerging use cases (DeFi, NFTs and Web3, among others).

Responsabilidades de Trabalho

  • Work in close collaboration with the rest of the research team, the head of research and the investment team to produce asset-specific or more comprehensive crypto reports
  • Collaborate with our investment team to formulate thesis-driven investment strategies

Qualificações

  • An open minded research approach and genuine intellectual curiosity
  • Comfortable working independently as well as collaborating across functions
  • Undergoing a degree in a technical area (i.e. mathematics, engineering, computer science, or economics) and/or technical experience is preferred

BENEFITS

  • Bolsa estágio
  • Pacote de benefícios via cartão Caju
  • Gympass

Contato

Link para cadastro: https://boards.greenhouse.io/hashdexassetmanagementltd/jobs/4113304004

Research Analyst, NY or RJ

Perfil do Empregador

Hashdex is crypto-focused asset manager with offices in Brazil and the United States. We were founded to bridge the gap between traditional financial markets and crypto, and to solve a problem we were having—we wanted a way to own beta on the crypto asset class. We make crypto investing easy with simple, secure, regulated funds. We are now the largest crypto asset manager in Latin America, where we weren’t the first to market, just the best.In 2021, we launched the world’s first crypto index ETFs in Bermuda and Brazil. HASH11 is now the third largest ETF by investors in Brazil, across all asset classes. Prior to launching the HASH11 fund, we completed one of the largest Series A raises in Latin American history, led by Valor Capital and supported by Softbank and Coinbase Ventures, among others. Having demonstrated product market fit with our index fund approach, we are now expanding to the USA, where we recently announced an exclusive partnership with Nasdaq and Victory Capital Management.To deliver on our mission to bring the best crypto investment products to the most people, we are building a headquarters in the USA. And to build, we need great people. We look for people with low egos, and high energy. Curious minds, open hearts, and a laser focus on what’s best for the customer.

We are looking for a high-energy investment/technology individual willing to drive the crypto revolution. As a research analyst at Hashdex you will perform in-depth analysis of current and new trends in the crypto space, develop core expertise not only in the major protocols (such as Bitcoin and Ethereum) but also in notable emerging use cases (DeFi, NFTs and Web3, among others). Your mission will be: (i) to produce world class content to educate and support the case for crypto to investors of all stripes, especially professional and institutional investors, (ii) to work closely with the investment team to buid an investment framework for this new asset class, and  develop thesis-driven investment strategies

Responsabilidades de Trabalho

  • Conduct deep-dive research and develop market-leading expertise on various assets invested by our funds and new products
  • Keep up-to-date coverage of the crypto space (blockchains such as Bitcoin, Ethereum, Solana, Polkadot, Chainlink and Uniswap, among others) and emerging trends (DeFi, NFTs and Web3)
  • Produce comprehensive research reports and provide analysis about the crypto landscape and investment thesis to investors, financial advisors, and media, helping to bring crypto into the mainstream investment world
  • Work in close collaboration with the rest of the research team, the head of research and the investment team to produce asset-specific or more comprehensive crypto reports
  • Collaborate with our investment team to formulate thesis-driven investment strategies

Qualificações

  • 2+ yrs of experience in investment management (sell-side/buy-side research, VC/PE or investment banking) and/or a tech-savvy person actively involved with crypto projects (DeFi and NFT enthusiasts, be welcome!)
  • Ability to explain complex concepts in simple terms to a non-technical audience
  • An open minded research approach and genuine intellectual curiosity
  • Ability to aggregate information from a variety of sources including technical repositories and anecdotal feedback from teams, then draw informed conclusions from incomplete information
  • Comfortable working independently as well as collaborating across functions
  • Exceptional written and verbal communication skills in both Portuguese and English
  • A degree in a technical area (i.e. mathematics, engineering, computer science, or economics) and/or technical experience is preferred. Being a CFA charterholder or  a CFA candidate is a plus.

BENEFITS:

  • Competitive salary + bonus
  • Stock options grant
  • + other benefits (depending on your geography)

Contato

 Link para cadastro: https://boards.greenhouse.io/hashdexassetmanagementltd/jobs/4103367004

Portfólio Management Junior

Perfil do Empregador

Com um modelo de atuação eficiente, focado em atividades prioritárias, o Grupo Bradesco atua nas principais áreas do segmento financeiro, com empresas que se destacam por seu desempenho e resultados.

Responsabilidades de Trabalho

  • Trato com clientes referente as carteiras de investimentos;
  • Relacionamento com casas e gestoras de investimento;
  • Consolidação do Strategic Asset Allocation para o portfólio dos clientes;
  • Estruturação de IPS personalizados de clientes;
  • Participação na gestão e construção de portfólios.

Qualificações

  • Experiência de pelo menos 5 anos como Investment Advisor;
  • Perfil comercial para atendimento a clientes diretamente
  • Inglês fluente;
  • CGA;
  • CFA e CAIA serão diferenciais.

Contato

Os Interessados devem enviar os currículos para:

Felipe Tezotto - felipe@bradesco.com.br

Matheus Miranda – matheus.miranda@bradesco.com.br

VP Senior Analyst of Financial Institutions

Perfil do Empregador

Moody's (NYSE: MCO) is a global integrated risk assessment firm that empowers organizations to make better decisions. Our data, analytical solutions and insights help decision-makers identify opportunities and manage the risks of doing business with others. We believe that greater transparency, more informed decisions, and fair access to information open the door to shared progress. With over 11,000 employees in more than 40 countries, Moody's combines international presence with local expertise and over a century of experience in financial markets. Learn more at moodys.com

Moody’s Investors Service is among the world’s most respected and widely utilized sources for credit ratings and research. Our opinions and analysis on a broad range of credit obligors and obligations are valued around the world for their insight and rigor. At MIS, our workplace culture supports our mission to be the Agency of Choice for our customers, employees and future employees. Our Culture focuses on Excellence and embodies behavioral qualities such as Integrity, Responsiveness, Collaboration, Respect and Passion. Our people are our core asset and we look beyond outcomes to ensure that behaviors and interactions matter.

Responsabilidades de Trabalho

Responsible for the ongoing credit assessment of a complex portfolio of issuers in accordance with the relevant methodologies. Regarded as an authority by issuers, investors and regulators, at individual credit and industry levels.

Analytics/Monitoring

  • Conduct quantitative assessment of financial statements and economic/market data, as well as intensive analysis of bond indentures, liquidity agreements, official statements and other legal documents.
  • Conduct initial and on-going credit analysis on a high profile portfolio of financial institutions.
  • Actively monitor portfolio and make recommendations for rating transitions in a timely fashion.
  • Perform and present in-depth fundamental credit analysis on a regular basis to rating committees to assign and maintain credit ratings.
  • Demonstrate rating judgment as evidenced by the ability to distinguish among different entities at different ratings levels.
  • Attend rating committee meetings with Senior Management and Risk Credit Officer to ensure consistency across teams.
  • Involvement in ensuring team complies with credit and compliance/regulatory policy issues as directed by Senior Management and/or compliance department.
  • Research
  • Produce timely and relevant research on specific issuers, general credit trends, or sector related issues that is in-depth, high quality, insightful and focused.
  • Proactively identify relevant topics for research.
  • Review draft research products of team members.
  • Involved in adhoc publications.
  • Issuer/Investor/Regulator Relations
  • Manage challenging issuers while maintaining high profile relationships with investors, issuers and regulators, interacting frequently based upon industry and topical research written.
  • Manage regular outreach events such as investor briefings, teleconferences, conference participation and third party presentations.
  • Lead issuer meetings, including presenting key rating factors effectively and asking probing questions that result in substantive dialog about key rating issues.
  • Communications
  • Present credits effectively and comprehensively in rating committees and other internal analytical meetings.
  • Coach and develop Junior analysts and support associates.

Qualificações

  • Graduate / second-level degree (e.g. MBA, Master’s) required or equivalent strong academic background.
  • More than ten years relevant experience with complex financial instruments and/or accounting principles e.g., accounting for derivatives financial instruments
  • Well-developed analytical skill
  • Strong written and oral communication capabilities
  • Ability to manage multiple competing priorities within deadlines.
  • Strong abilities in Excel, Word and PowerPoint.
  • Fluent in English and Advanced Spanish


Moody’s is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability, protected veteran status, sexual orientation, gender expression, gender identity or any other characteristic protected by law.


Candidates for Moody's Corporation may be asked to disclose securities holdings pursuant to Moody’s Policy for Securities Trading and the requirements of the position. Employment is contingent upon compliance with the Policy, including remediation of positions in those holdings as necessary.

Contato

Os Interessados devem enviar os currículos para: carolina.bontempo@moodys.com ou aplica-los através do link: https://careers.moodys.com/jobs/21960BR-vp-senior-analyst-of-financial institutions-saopaulo/

Internship Wealth Management

Perfil do Empregador

A Trafalgar Investimentos é uma gestora de recursos independente criada em 2017 que atual no âmbito de gestão de fortunas e na gestão de fundos abertos de renda variável e multimercados. A gestora possui hoje sob gestão R$: 5.2 bilhões de reais e buscamos estagiários com objetivo de formação interna para fazer parte do time de Wealth Management da casa.

Remuneração e Oportunidade de crescimento

Remuneração em linha com mercado + benefícios;

Oportunidade de efetivação e partnership a longo prazo.

Responsabilidades de Trabalho

  • Realizar a cobertura de empresas majoritariamente do mercado Offshore, sob a ótica de dívida e equity;
  • Acompanhar a conjuntura macro e microeconômica, contextualizado com os setores e empresas em análise;
  • Auxiliar os demais analistas e gestores nos comitês de investimento, rotinas automatizadas e demandas operacionais das carteiras exclusivas;
  • Participar ativamente das discussões e no aprendizado coletivo do time de gestão e análise.

Qualificações

  • Cursando nível superior em Engenharia, Administração ou Economia;
  • Conhecimentos de matemática financeira e programação (VBA, R ou Python);
  • Forte curiosidade intelectual e interesse pelo mercado financeiro;
  • Perfil organizado, analítico e proativo.
  • Inglês básico para leitura e telefonemas.

Contato

 Enviar e-mail com CV para andre.ferreira@trafalgarinvest.com.br

Estagiário do Front-Office

Perfil do Empregador

A Bolt foi criada para oferecer soluções inovadoras, simples e seguras para o mercado de comercialização de energia.
Trabalhando conosco, você tem a oportunidade de fazer a diferença na vida de milhões de brasileiros e construir pontes para o mercado de energia.

Responsabilidades de Trabalho

  • Banco de dados de energia;
  • Banco de dados de documentos de contrapartes;
  • Atualizar sistemas da Bolt de contrapartes;
  • Atualizar modelo de risco de contrapartes;
  • Construção de séries históricas;
  • Boletagem de operações da mesa, leilões, chamadas ...
  • Elaborar atas de reuniões da Bolt, crédito, mesa, etc;
  • Elaboração de modelos para previsões no mercado de energia;
  • Projetos e estudos para a mesa de operações;
  • Acompanhamento sistemático do fluxo de operações;
  • Elaboração de manuais de processos internos.

Qualificações

Cursando: Engenharia, economia, ciência da computação, estatística,física ou matemática. Formação em 2023 com possibilidade de contratação. 

Disponível para trabalhar em SP/Bolt, de preferência no período
da tarde.  

  • Conhecimentos intermediários de excel, powerpoint e word;
  • Diferencial para noções básicas de programação (python e SQL);
  • Diferencial para matemática financeira;
  • Inglês avançado.

Contato

Favor, encaminhar os currículos para contato@boltenergy.com.br / kmiotti@boltenergy.com.br

Analista Júnior

Perfil do Empregador

A Bolt foi criada para oferecer soluções inovadoras, simples e seguras para o mercado de comercialização de energia.
Trabalhando conosco, você tem a oportunidade de fazer a diferença na vida de milhões de brasileiros e construir pontes para o mercado de energia.

Responsabilidades de Trabalho

  • Consultas a banco de dados;
  • Construção de séries históricas;
  • Elaboração de modelos para previsões no mercado de energia;
  • Elaboração de modelos de trading;
  • Acompanhamento sistemático do mercado e dos modelos existentes;
  • Projetos e estudos para a mesa de operações;
  • Projetos e estudos para área de crédito;
  • Projetos e estudos para área de risco.

Qualificações

Formação desejável ou cursando: Engenharia, economia, ciência da computação, estatística, física, matemática. 

  • Excel avançado;
  • Python (desejável conhecimento com o pacote Pandas);
  • Banco de dados SQL;
  • Econometria (eviews ou similar);
  • Inglês fluente.

Contato

Favor, encaminhar os currículos para contato@boltenergy.com.br / kmiotti@boltenergy.com.br

Analyst – Financial Institutions

Perfil do Empregador

A Moody’s Local BR Agência de Classificação de Risco, domiciliada na Av. Das Nações Unidas, 12.551 – 16º andar – cj. 1601 – São Paulo / SP, está contratando para os cargos de Analyst e Associate.

Responsabilidades de Trabalho

This role is for a senior analyst who will be responsible for the credit analysis of financial institutions, including banks and insurance companies, and qualitative assessments of investment management companies (Asset Management) in accordance with the relevant methodology or assessment framework. The analyst will be responsible for primary credit coverage of a high profile portfolio of banks and investment management companies.

Conduct quantitative assessment of financial statements, asset performance, and economic/market data, qualitative assessments of business strategy, financial policy, governance, and other factors, as well as analysis of bond indentures and other legal documents.

  • Conduct initial and on-going credit analysis on a dedicated portfolio of entities may include middle-market banks, regional development banks, and captive finance companies.
  • Conduct initial and on-going qualitative assessments of a high profile of equity, credit, and multi-market asset management companies.
  • Actively monitor the portfolio and make recommendations for rating/assessment transitions in a timely fashion.
  • Present the portfolio effectively and comprehensively in rating committees, discussion forums, and other internal analytical meetings, formulate a coherent rationale and present this rationale in a persuasive fashion while leading the discussion.
  • Demonstrate analytical judgment as evidenced by the ability to distinguish among different entities and transactions at different ratings/assessment levels.
  • Produce timely and relevant research on specific issuers, general credit trends, or sector related issues that is in-depth, high quality, insightful and focused.
  • Build and maintain high profile relationships with investors, advisors, and issuers.
  • Develop Moody's Local Brasil franchise through intermediary marketing and visibility initiatives (e.g. conference participation).
  • Lead management meetings, including presenting key factors effectively and asking probing questions that result in substantive dialog about key issues.
  • Coach and develop more junior analysts.

Qualificações

  • Graduate / second-level degree (e.g. MBA, Master’s) required or equivalent strong academic background.
  • At least five years relevant experience with analysis primarily focused on financial institutions or experience in the asset management industry.
  • Proven and well-developed analytical and modelling skills
  • Strong written and oral communication capabilities in Portuguese and English.
  • Ability to manage multiple competing priorities within deadlines.
  • Strong Microsoft Excel skills mandatory.
  • Ability to adapt to a changing environment and prioritize tasks accordingly

Moody’s is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability, protected veteran status, sexual orientation, gender expression, gender identity or any other characteristic protected by law.
Candidates for Moody's Corporation may be asked to disclose securities holdings pursuant to Moody’s Policy for Securities Trading and the requirements of the position. Employment is contingent upon compliance with the Policy, including remediation of positions in those holdings
as necessary.

Contato

Carolina Bontempo – Sr. Recruiter - Carolina.bontempo@moodys.com

Ou aplicar o currículo através do link:

https://careers.moodys.com/jobs/22738BR-analyst-moody%e2%80%99s-local-%e2%80%93-financial-institutions-sao-paulo/

Associate/ML – Corporate and Infrastructure Finance

Perfil do Empregador

A Moody’s Local BR Agência de Classificação de Risco, domiciliada na Av. Das Nações Unidas, 12.551 – 16º andar – cj. 1601 – São Paulo / SP, está contratando para os cargos de Analyst e Associate.

Responsabilidades de Trabalho

Provide credit analysis throughout the different phases of the rating process on a portfolio of corporates and infrastructure finance companies, including project finance, and will form a holistic view on these issuers. The Associate/ML at Moody’s Local Brasil will work on a complex and high profile portfolio of corporates and infrastructure projects.


The Associate/ML role provides an opportunity to make a significant contribution to the success of Moody’s Local, by providing a range of analytical services that contributes to the overall credit analysis function performed by Lead Analysts. This role will focus primarily on the Corporates and Infrastructure Finance sector, and there is potential for cross-training in supporting varying asset classes, rating teams, and methodologies, as part of career progression.

The role requires a solid background in corporate finance, accounting, and financial analysis. Candidates will be expected to demonstrate their ability to work effectively in a team environment. The ideal candidate for this role will possess strong organizational skills, demonstrate attention to detail, and enjoy working in a collaborative team environment. The Associate/ML position provides a unique opportunity to foster skills that are valuable to any future career in the financial services industry.

  • Perform preliminary credit analysis to support ratings, research, analytical outreach and presentations, following guidance provided by team lead. Examples of analytical work include:
  • quantitative assessment of financial statements, asset performance, and economic/market data, qualitative assessments of business strategy, financial policy, governance, and other factors, as well as analysis of bond indentures and other legal documents.
  • reading legal documents and contracts to understand issuance terms, structures, covenants, and guarantees.
  • Preparing financial spreadsheets and charts, analyzing data and financial statements, building and updating financial models and analytical tools, and writing analytical commentary in accordance with Moody’s methodologies.
  • Identifying trends in data and use analytical ability, applying judgment to form well thought out credit conclusions.
  • Develop working knowledge of Moody’s Local methodologies in order to apply to credit analysis.
  • Interpret and analyze financial data to perform the preliminary credit analysis.
  • Demonstrate the ability to understand and identify key factors that affect credit ratings under full supervision and guidance of lead analysts.
  • Support credit monitoring/surveillance of issuers by e.g. preparing data for surveillance, periodically updating preliminary components of analysis, and initiating/escalating deeper credit reviews when necessary.
  • Perform certain routine administrative and other ad hoc credit-related tasks as directed by the direct supervisor.
  • Work as a team with other Associates and Analysts under the overall supervision of the direct manager

Qualificações

  • Minimum undergraduate/ first-level degree in economics, accounting, engineering, business administration, statistics, actuarial science or similar (e.g. bachelor’s degree, or equivalent qualifications).
  • Preferably 1-2 years of relevant experience. (including internship)
  • Demonstrates knowledge of MS Excel, Word and PowerPoint.
  • Solid verbal, written communication, and interpersonal skills
  • English speaking and writing capabilities
  • Python programming & Visual Basic for Applications knowledge is a strong plus
  • Ability to adapt to a changing environment and prioritize tasks accordingly

Moody’s is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability, protected veteran status, sexual orientation, gender expression, gender identity or any other characteristic protected by law.
Candidates for Moody's Corporation may be asked to disclose securities holdings pursuant to Moody’s Policy for Securities Trading and the requirements of the position. Employment is contingent upon compliance with the Policy, including remediation of positions in those holdings
as necessary.

Contato

Carolina Bontempo – Sr. Recruiter - Carolina.bontempo@moodys.com

Ou aplicar o currículo através do link:

https://careers.moodys.com/jobs/22736BR-associate-moody%e2%80%99s-local-%e2%80%93-corporate-and-infrastructure-finance-sao-paulo/

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