





Tier-1 brand, metro location, mid-level generalist finance analytics role, and broad skillset amplify competition.
Requires derivatives clearing, capital markets, and regulatory capital expertise, limiting cross-industry transferability.
Explicit 2–5 years requirement plus finance domain knowledge and controls expectations create moderate filtering.
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Manage and produce recurring analytics and reporting on client clearing financing, profitability, capital usage, liquidity impacts, and clearinghouse activities.
Perform financial and business performance analyses to support financing strategy execution, capital optimization, and concentration margin management.
Partner with Technology and Strats teams to automate processes, enhance data quality, and improve reporting infrastructure while supporting global business initiatives.
Work Experience Required: 2-5 years in financial services, analytics, risk management, finance, treasury, operations, or capital markets.
Undergraduate degree in Finance, Accounting, Economics, Mathematics, Engineering, Computer Science, Statistics, or related quantitative discipline.
Proficiency in Excel and data analysis tools; knowledge of SQL, Python, Alteryx, Power BI, Tableau, or similar tools is advantageous.
Location: Mumbai-based role.
Analytical professional with strong data handling and quantitative analysis skills, able to generate actionable business insights from complex datasets.
Experience or familiarity with derivatives clearing economics, capital markets, regulatory capital, liquidity metrics, or profitability analytics.
Comfortable collaborating across global regions and functions, with a disciplined approach to risk, controls, and documentation standards.