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Tier-1 global brand, metro Hyderabad, and common early-career finance analytics role drive high competition.
Requires asset-management portfolio analytics, FactSet proficiency and GIPS knowledge, limiting cross-industry transferability.
Explicit 1–3 years, portfolio analytics/FactSet/GIPS expectations, and MBA/CFA preferences raise selection strictness.
Support analysis and interpretation of investment portfolio performance and risk across multiple asset classes and regions.
Responsible for acquisition, validation and consolidation of portfolio data ensuring accuracy in performance measurement and attribution.
Collaborate with portfolio managers, risk teams and stakeholders to provide timely reports informing investment decisions and strategies.
1–3 years of experience in Finance, Investment Banking, or related industries with knowledge of performance measurement and attribution.
Proficiency in FactSet for portfolio analytics including performance, risk metrics and benchmark comparisons.
MBA in Finance/Accounting or related field; CFA Level 1 cleared is preferred but not mandatory.
Ability to work in hybrid model with designated office presence at least 3 days a week (location: not explicitly mentioned).
Experienced in portfolio analytics focusing on performance evaluation and risk assessment across diverse asset classes.
Proficient in extracting, validating and managing data for accurate analytics reporting and issue resolution using FactSet and reporting tools like Power BI/Tableau.
Capable of collaborating closely with investment teams and compliance to support decisions and ensure adherence to regulatory standards like GIPS.