Job Location: Bangalore/Bengaluru
Responsibilities:
- Perform strategic asset allocation, investment analysis, and deep dive portfolio analytics for client portfolios.
- Generate actionable insights for the client portfolios on the back of solid quantitative research.
- Collaborate with global IS&R teams and generate quality research in the form of white papers and brief write-ups to enrich client interaction.
- Develop and enhance marketing collateral to support and further client interaction.
Qualifications: Kindly indicate your answers to below 5 qualifications in your application.
- 3-5 years of professional experience in the core investment management is required. Candidates having experience in the Fixed Income/Multi-Asset portfolio management/research will be preferred. (Yes/No)
- Advanced degree in Finance/Economics/Math/progress towards CFA is mandatory. CFA designation a plus. (yes/No)
- Strong quantitative modeling and analytical skills are required. Good to have programming skills in either of Python/R. (yes/No)
- Basic familiarity with financial software is required (FactSet/Bloomberg). Experience with Axioma and Barra is desired. (Yes/No)
- Good communication skills (Yes/No)
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