





Tier-1 brand, metro location, and mid-level seniority increase competition despite niche skillset.
Requires investment performance expertise and niche tools, limiting cross-industry transferability.
Explicit 6–8 years, postgraduate preference, and niche performance tools make shortlisting highly selective.
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Analyze portfolio performance and attribution including security selection, asset allocation, and currency effects.
Reconcile and validate portfolio and benchmark performance data, investigating discrepancies at transaction, position, and pricing levels.
Collaborate with multiple departments to resolve data issues and develop new performance analytical reports ensuring high quality and accuracy.
6-8 years post-graduation experience in financial firms; experience in performance measurement is an advantage.
Postgraduate degree, preferably MBA in Finance from a reputed institute.
Strong understanding of Equity, Fixed Income, and Derivative instruments; knowledge of investment management industry and security analysis.
Proficient in MS Office; exposure to POINT/Yield book/Factset is a plus.
Experienced in handling complex performance measurement and attribution workflows within large financial institutions.
Able to independently troubleshoot quantitative and functional issues and coordinate escalations effectively.
Comfortable working flexible hours to coordinate with global teams and manage high-pressure periods such as quarter-end.