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Careers at Arena Investors, LP
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Asset Management - Analyst

21 Oct 2022
Bengaluru, Karnataka, India
Verified by Turrior

Content + Source + Freshness • 18 Dec 2025 • 95% confidence

78 / 100

Offer value

Offers an attractive entry point for analysts in asset management, with the opportunity to contribute to financial evaluations and strategic decision-making.

  • Engagement in comprehensive financial analyses
  • Team-oriented role with learning opportunities
  • Ideal for developing analysts in asset management
  • Lack of disclosed salary details
Pros
  • Potential for meaningful contributions to strategic analyses
  • Opportunity to learn within a structured team environment
  • Exposure to diverse financial situations and companies
Cons
  • Salary details not provided, which may limit transparency
  • Heavy reliance on data analysis may not suit all candidates
  • Potentially long hours due to project deadlines

Who it's for

Entry to Mid-Level • In-office in Bengaluru, India

Good fit
  • Analysts with a few years of financial experience
  • Professionals looking to deepen their investment knowledge
  • Candidates who thrive in analytical job roles
Not recommended for
  • New graduates without finance background
  • Individuals preferring fully remote work
  • Those uninterested in detailed financial work

Motivation fit

Interest in financial analysis and reportingDesire to grow expertise in asset managementMotivated by a collaborative work environment

Key skills

Financial modeling and analysisAccounting principles understandingStrong communication and teamworkDetail-oriented mindset with a focus on accuracy
Score: 78/100 AI verified analysis

About the job

• Support the Asset Management team, focused on portfolio account surveillance, monitoring, reporting and valuation

• Conduct comprehensive financial analysis and research of prospect and portfolio companies, in addition to the industries they participate in

• Analyze management, cash flows, asset collateral quality/coverage, deal structure, covenants, and perform sector analysis to understand a given firm’s competitive position

• Generate detailed financial models, including those for projections, covenant sensitivity analysis, duration and IRR calculations, amongst others

• Assist in the generation of credit/performance reports and presentations

• Continuously monitor assigned product sectors and portfolio companies

• Work with legal, financial, valuation and accounting advisors on account management, diligence and documentation

• Help to structure transactions and assist with closing deals/amendments, etc

• Assist in the creation, implementation and documenting of process/procedural frameworks and file maintenance protocols

• Lead and work on frequent project‐oriented assignments

The individual will have demonstrated an ability to work in a fast-paced, performance-driven environment with an ability to think broadly about the business, incorporating continual improvement of processes and procedures with a goal of excellence while focusing on accuracy and efficiency.

• 1 – 5 years related experience desired

• MBA or CFA a plus

• Experience in modeling with R a plus

• Strong quantitative and qualitative skills

• Strong modeling skills and the ability to think flexibly, while analyzing a variety of situations; comfortable and effective multi-tasker

• Undergraduate degree from a top institution a plus, with a record of academic achievement – US GPA minimum requirement of 3.5

• Experience in a formal bank credit training or top sell side bank analyst program a plus

• Excellent oral and written communication skills

• Ability to work well with others

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