FullTime Morowali
3 Deadline 30/12/25
Will be responsible for:
Conduct detailed analysis of Bibit’s multi-asset products, including mutual funds, government bonds, and other asset classes, to evaluate performance, risks, and opportunities.
Monitor and interpret macroeconomic trends, market conditions, and stock market developments to provide insights that inform investment strategies and content.
Collaborate closely with the marketing team to ideate, review, and refine investment-related content, ensuring it is accurate, compliant with regulations, and engaging for clients.
Apply strong understanding of finance theories to assess the quality and suitability of investment content.
Identify and flag potentially misleading or inaccurate content, providing clear recommendations to align with best practices and regulatory standards.
Stay updated on industry trends, regulatory changes, and financial innovations to ensure Bibit’s offerings and communications remain competitive and trustworthy.
What you will need:
Bachelor’s degree in Finance, Economics, Accounting, or related fields; CFA or progress toward it is a plus
Having an experience in investment research, fixed income analysis, or portfolio support is a plus
Strong understanding of Indonesia’s capital market (especially mutual funds & government bonds)
Solid analytical and quantitative skills; proficiency in Excel, Bloomberg, or financial modeling tools
Effective communication and presentation skills
Knowledge of OJK and IDX regulations is an advantage
High attention to detail, integrity, and professional curiosity
Having WPPE certification is a plus
Benefits:
Capital market sharing session
Self development program
Health insurance benefits
Well being and counseling program
Gaji bulanan: Rp14,000,000 - Rp20,000,000
Perusahaan: Stockbit