Finance & Investment Analyst (Remote)
ExpiredThe analyst will conduct portfolio evaluations, market research, and quantitative risk/return analysis for investment initiatives. Key tasks include building DCF models, tracking performance metrics, and drafting investment memos for committees.
- Remote
- Canada
- Posted Sep 10, 2026
- 1 position
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Expired Sep 11, 2026
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Original job posting
Role: Finance & Investment Analyst (Remote) Location: Remote (Canada) Employment Type: Full-Time Job Overview: We are seeking a Finance & Investment Analyst to conduct portfolio evaluation, market research, and quantitative risk/return analysis for investment initiatives. What You'll Do: Analyze potential investment opportunities, asset classes, and market developments. Build discounted cash flow (DCF) models and valuation structures. Track portfolio performance metrics and report on return profiles. Conduct market research on economic conditions and competitive trends. Draft investment memos and presentation decks for investment committees. What We're Looking For: Bachelor’s degree in Finance, Economics, or Quantitative Analytics. 2+ years of experience in investment analysis, private equity, or asset management. Highly advanced Excel and financial modeling expertise. CFA candidate or charterholder is a strong plus. Core Competencies for Success: Analytical Thinking: Ability to translate complex financial data into clear, actionable narratives. Adaptability: Comfort working independently and thriving in a fast-paced, fully remote environment. Attention to Detail: Commitment to maintaining 100% accuracy in financial reporting and compliance. Cross-Functional Collaboration: Skill in presenting financial insights to non-technical stakeholders. Why You’ll Love Working With Us: Remote-First Culture: We believe you do your best work when you have the flexibility to work from where you are most productive. Meaningful Impact: You aren't just crunching numbers; your insights will directly influence our strategic growth. Continuous Learning: We encourage professional development and support continuous learning in the ever-evolving finance sector. Equal Opportunity Employer We hire based on skills, expertise, and qualifications. All qualified candidates are welcome regardless of background, experience, or prior employment history. Applications are evaluated based on demonstrated expertise and suitability for the role. Apply Now!
What you’ll do
The analyst will conduct portfolio evaluations, market research, and quantitative risk/return analysis for investment initiatives. Key tasks include building DCF models, tracking performance metrics, and drafting investment memos for committees.
Requirements
Candidates need a Bachelor's degree in Finance, Economics, or Quantitative Analytics and at least 2 years of experience in investment analysis or asset management. Advanced Excel skills are required, and a CFA designation is highly preferred.
Benefits
• Remote-First Culture • Professional Development Support
Listed skills
- Microsoft ExcelPreferred
- Cross-Functional CollaborationPreferred
Other relevant skills
Identified from the job description. Confirm important requirements above.
- Portfolio Evaluation
- Market Research
- Quantitative Risk Analysis
- DCF Modeling
- Financial Valuation
- Portfolio Performance Tracking
- Investment Memo Drafting
- Excel
- Financial Modeling
- Analytical Thinking
- Cross-Functional Collaboration
Job areas
- Finance & Accounting
- Data & Analytics
- Consulting
Additional details
- Minimum education
- Bachelor’s degree
- Minimum experience
- 2+ years
- Posting language
- English
- Working hours
- 40 hours per week
- Seniority
- Entry level