Key Responsibilities Conduct comprehensive fundamental analysis of energy and oil and gas companies to identify compelling investment opportunities Develop and maintain detailed financial models Generate actionable investment recommendations with clear risk-adjusted return profiles and position sizing guidance for portfolio managers Monitor industry developments, regulatory changes, and macroeconomic factors affecting energy markets, providing timely insights to investment teams Build and maintain relationships with company management, industry experts, and sell-side analysts to enhance information flow and market intelligence Present investment ideas and market outlook to internal stakeholders including portfolio managers, risk management, and investment committees Requirements Minimum 8 years of equity research experience, with direct experience in oil and gas equity research CFA required Proven track record of generating alpha through fundamental analysis with documented performance attribution Deep understanding of energy sector dynamics Advanced financial modeling skills with expertise in DCF, NAV, and relative valuation methodologies specific to energy companies Strong written and verbal communication skills with ability to articulate complex investment theses