Responsibilities
- Track and analyse market-moving corporate events (M&A, IPOs) and public company news.
- Extract key information from primary public sources (company announcements, regulatory filings, investor materials).
- Validating the input/output of automated models to ensure forecasts are accurate.
- Writing research reports & content notes that help clients extract more value from our forecasts.
- Communicating directly with our clients to help them better understand our research.
- Contribute to ongoing improvement of research processes and data quality.
Requirements - Must have
Strong interest in finance and capital markets.
Experience with Python (Pandas)/ Excel
Strong analytical mindset and high attention to detail.
Comfortable working under time pressure with incomplete information.
- Proactive and takes initiative to drive improvements
Clear written communication, structured thinking, and ability to prioritise signal over noise
Requirements - Nice to have
Experience with Python (OOP)
Familiarity with regulatory filings and primary-source research.
- Prior exposure to research, investing, or event-driven market analysis.
Knowing multiple spoken languages.
Skills Required
- Strong interest in finance and capital markets
- Experience with Python (Pandas) and Excel
- Strong analytical mindset and high attention to detail
- Comfortable working under time pressure with incomplete information
- Proactive and takes initiative to drive improvements
- Clear written communication, structured thinking, and ability to prioritise signal over noise
- Experience with Python (OOP)
- Familiarity with regulatory filings and primary-source research
- Prior exposure to research, investing, or event-driven market analysis
- Knowing multiple spoken languages
What We Do
Intropic is a fintech start-up that provides advanced financial intelligence and data processing tools for the capital markets industry. By combining agentic AI and elastic cloud infrastructure with deep market expertise, Intropic delivers high-impact data products, including index rebalance forecasts, which are utilized by leading financial institutions, hedge funds, and asset managers to effectively manage risk and optimize multi-billion dollar trading flows.







