





High due to Tier-1 bank, Mumbai metro, generalist Financial Analyst title, and broad candidate pool.
High because role requires investment-banking product control, trade-flow knowledge, and front-to-back systems expertise.
High because product-control and investment-banking financial control experience plus IFRS knowledge are mandatory filters.
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Produce and analyze daily T+1 Profit and Loss (P&L) reports with attribution and detailed variance commentary for Front Office and senior Finance managers.
Manage monthly Financial Control activities including ledger reporting, manual journal entries, and resolving discrepancies between models and actuals.
Ensure compliance with risk and control guidelines, coordinate with multiple stakeholders including Finance directors, Front Office traders, and Risk management, and confirm accurate trade capture for funding cost allocation.
Experience in Financial Control or product control within Investment Banking.
Strong understanding of financial market products like Loans, Bonds, Credit, Derivatives, Cash Equity, Swaps, Options, and Futures.
Proficient with Microsoft Office, especially Excel and Word; exposure to front office systems is required.
Education: Preferably MBA or qualified Chartered Accountant/CPA/ACCA/CIMA/CFA; knowledge of IFRS/GAAP is preferred.
Experienced in front-to-back Investment Banking environment with capability to understand trade flows and booking structures.
Able to manage time efficiently and escalate issues appropriately in a dynamic, stakeholder-heavy setting.
Skillful in leveraging AI tools responsibly to enhance productivity and workflows while applying critical judgment.