





Tier-1 employer and Bangalore location with mid-level seniority yields moderate competition.
Highly finance-specific investment performance skills limit transferability outside asset management.
Mandatory 6–8 years post-graduation experience and domain expertise create strict shortlisting filters.
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Analyze and attribute portfolio performance including security selection, asset allocation, and currency impacts.
Reconcile and validate portfolio and benchmark performance data, investigating and resolving security-level discrepancies across transaction, position, and pricing data.
Collaborate with multiple departments to develop and maintain performance analytical reports and ensure high quality and accurate performance measurement processes.
6-8 years post-graduation experience in financial firms, preferably with exposure to Performance Measurement.
Post Graduate degree required; MBA in Finance preferred.
Strong understanding of Equity, Fixed Income, and Derivatives; knowledge of investment management and portfolio management.
Basic MS Office skills mandatory; experience with POINT/Yield book/Factset is an advantage.
Experienced in detailed performance analysis and reconciliation within investment management environments.
Skilled at cross-functional collaboration with operations, performance measurement, risk, and IT teams.
Comfortable working in high-pressure, time-sensitive scenarios, including coordinating with US-based colleagues for issue escalation and resolution.