





Medium — Tier-1 brand and metro location increase applicant density, but senior specialization reduces competition.
High — specialized investment performance and portfolio analytics skills limit cross-industry transferability.
High — explicit 11+ years post-graduation requirement and domain-specific performance measurement expertise required.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Perform performance analysis and attribution on portfolios including factors like security selection, asset allocation, and currency.
Reconcile and validate portfolio and benchmark performance data at transaction, position, and pricing levels using Global Performance Measurement and Risk applications.
Collaborate across teams to resolve data issues, develop analytical reports, maintain best practice workflows, and support firm-wide performance return centralization efforts.
Post Graduate degree required; MBA in Finance preferred.
Work Experience Required: 1+ year post-graduation experience in any financial firm; experience in Performance Measurement is advantageous.
Strong understanding of Equity, Fixed Income, Derivative instruments, and investment management industry knowledge.
Basic MS Office skills; exposure to POINT, Yield Book, or Factset is a plus.
Ability to independently troubleshoot functional and quantitative issues to ensure high-quality report production.
Experienced in working under pressure with effective communication skills across multiple internal stakeholders.
Familiar with security analysis, portfolio management, financial markets, and knowledgeable about trading and settlement processes.