Job description
Join Aurora Capital Partners as a Senior Investment Analyst in New York. This high-impact role blends rigorous financial analysis, market research, and strategic thinking to support investment decisions across equities, fixed income, and alternatives.
As a key member of the investment team, you will partner with portfolio managers and research analysts to develop investment theses, build and stress-test models, and contribute to portfolio construction and risk management. The position offers a clear path to leadership, competitive compensation, and meaningful ownership over outcomes.
What you’ll do: you’ll have access to state-of-the-art tools, ongoing learning opportunities, and a culture of collaboration, integrity, and excellence. This is your chance to influence the direction of the firm’s investment program.
Responsibility
- Conduct in-depth fundamental and quantitative analysis of investment opportunities across equities, fixed income, and alternatives.
- Build and maintain advanced financial models (DCF, comparable company analysis, LBO) to support investment decisions.
- Perform portfolio risk analysis, scenario testing, and performance monitoring against benchmarks.
- Prepare crisp investment memos and present findings to the Investment Committee with clear recommendations.
- Collaborate with portfolio managers to develop investment theses and implement ideas with disciplined risk controls.
- Conduct industry and company research, macroeconomic monitoring, and tracking of market developments.
- Lead due diligence for new investments, including financials, operations, governance, and regulatory considerations.
- Mentor junior analysts and contribute to process improvements and best practices.
Qualification
- Bachelor’s degree in Finance, Economics, or a related field; CFA/CAIA designation preferred.
- 3-6 years of experience in investment analysis, equity research, or asset management.
- Strong financial modeling skills (DCF, LBO, comps) and advanced Excel; Python or R experience is a plus.
- Proficiency with financial databases and tools (Bloomberg, FactSet, Morningstar).
- Solid understanding of financial statements, valuation methodologies, and capital markets.
- Excellent written and verbal communication; ability to present complex ideas clearly to investors and stakeholders.
- Detail-oriented, analytical, and collaborative, with ability to thrive in a fast-paced environment.