





Tier-1 brand and Bengaluru metro presence with an early-mid finance role yields moderate competition.
Requires specific investment performance, securities, and portfolio knowledge leading to high background sensitivity.
Explicit 2+ years post-grad requirement plus mandatory finance and securities skills enforce moderate strictness.
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Perform detailed investment performance analysis and attribution across various factors like security selection, asset allocation, and currency.
Reconcile, validate, and update portfolio and benchmark performance data, resolving discrepancies at transaction, position, and pricing levels.
Collaborate across teams to develop performance analytical reports, maintain ‘best practice’ workflows, and troubleshoot quantitative and functional issues ensuring high quality reporting.
Post Graduate degree required; preferably MBA in Finance from a reputed institute.
Work Experience Required: 2+ years post-graduation experience in any financial firm; experience in Performance Measurement is advantageous.
Strong understanding of Equity, Fixed Income, and Derivative instruments, investment management industry, portfolio management, financial markets, trading, and settlements.
Immediate joiners preferred; excellent communication skills; basic MS Office skills; knowledge of POINT/Yield book/Factset is a plus.
Experienced in detailed investment performance measurement and reconciliation workflows involving multiple data sources and tools.
Capable of effective cross-functional communication including escalation and collaboration with global teams for issue resolution and process improvement.
Comfortable working flexible hours overlapping with US time zones and handling pressure during critical periods such as quarter-end.