





Mid-level, generalist financial data role in metro attracts many qualified applicants.
Role requires specialized financial market and reference data expertise, limiting cross-industry transferability.
Explicit 4–6 years expectation and domain-specific financial data skills increase screening strictness.
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Deliver high-quality financial market and reference data for global clients across multiple asset classes, ensuring adherence to agreed service levels.
Analyze, validate, and perform root cause analysis on complex data issues to maintain accuracy, consistency, and reliability of financial data.
Collaborate with internal teams on data integration, issue resolution, UAT activities, client onboarding support, and mentor junior analysts while improving data processes and controls.
4 to 6 years of relevant financial data analysis or related experience.
Experience with pricing and reference data processing across asset classes such as Equities, Funds, Fixed Income, and OTC Derivatives.
Strong data quality analysis skills including exception handling and operational risk control.
Work Experience Required: 4 to 6 years as specified; Notice Period: Not explicitly mentioned in the JD.
Experienced in end-to-end financial data delivery and operational processes improvement with focus on data quality and risk control.
Proficient in complex issue investigation, root cause analysis, and implementing corrective actions in financial data environments.
Capable of mentoring and knowledge transfer within global teams and supporting client onboarding and UAT activities effectively.