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Associate - Wealth Management Solutions - Data Analytics & Modeling

3.00 to 5.00 Years   Mumbai City   28 Oct, 2020
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaGeneral / Other Software
EmploymentTypeFull-time

Job Description

Role Overview:We are looking for a dynamic individual, with strong analytical skills, a keen interest in financial markets, and the enthusiasm to drive their own work agenda. Members of our Investment Solutions Data, Analytics & Modeling team in Mumbai, India contribute to the Portfolio Management and Governance process by creating, managing, and analyzing a broad array of data and analytics. The ideal candidate as a mix of strong technical skills and the strategic vision to help evolve our analytical tools and models across Investment Solutions.Key Responsibilities:Assist with Tracking, Reporting and Analysis of Performance & Attribution data for Strategy Portfolios.Provide day-to-day support to Portfolio Managers, including data aggregation, reporting, and trading support across a broad range of investment products.Propose new and redesign existing process flows, models and user tools to achieve efficiencies and controls.Drive strategic enhancements of existing tools and identify opportunities to leverage data, analytics, and models across investment teams.Improve platform dataflow by identifying golden source of data and streamline investment vehicle performance and attribution reporting process.Provide Performance and Attribution commentaries and summaries during engagements with Portfolio Managers and during Strategy meetings.Assist with development of proprietary models and analytical tools for portfolio construction, performance attribution and risk managementLiaising between business and technology to enhance investment analytics platform, i.e. implementing proper user entitlement and maintaining analytical toolkit inventoryEssential Skills & Experience:3-5 years of work experience in a Performance & Attribution Analytics, Risk Analytics or Data Analytics role with focus on Financial Markets - investment and/or asset and wealth management experience preferred.CFA, FRM, CIPM or MBA preferred.Broad capital markets experience across asset classes and liquidity types.Excellent written and verbal communication skills, with the ability to liaise with internal and external partners.Analytical experience, with a focus on statistical analysis, financial modelling or other investment related analysis, and strong proficiency in Microsoft office programs including Excel, PowerPoint and Word.Experience navigating and interpreting investment documentation and understanding of fund strategies / structures.. Experience executing process automation projects or user tool automations.Ability to parse complex tasks and juggle priorities in a highly dynamic professional environment.Strong programming skills. Preferably at least a few of the following - Python, Matlab, Visual Basic, SQL and C#,

Keyskills :
strong analytical skillsvisual basicgolden sourcedata analyticsrisk analyticscapital marketsmicrosoft officetechnical skillsstrategic visiondata aggregation

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