





Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Tier-1 brand, metro location, and mid-level finance role drive high competition.
Requires specialized investment performance and securities knowledge, limiting cross-industry transferability.
Explicit 6–8 years post-graduation, MBA preferred, and finance certifications increase filtering rigor.
Own portfolio performance analysis and attribution, including absolute and relative performance to factors such as security selection, asset allocation, and currency.
Reconcile and validate portfolio and benchmark performance data; investigate and resolve discrepancies at transaction, position, and pricing levels within Global Performance Measurement and Risk applications.
Collaborate across teams (Performance Measurement, Operations, IT) to resolve data issues, produce analytical reports, and maintain best practice workflows ensuring timely and high-quality performance reporting.
6-8 years post-graduation experience in financial services, preferably in performance measurement.
Post Graduate degree required, preferably MBA in Finance from reputed institute.
Strong knowledge of Equity, Fixed Income, Derivatives, investment management, portfolio management, trading, and settlements.
Experience with MS Office required; familiarity with POINT, Yield Book, FactSet is advantageous.
Experienced in performance analysis and attribution within investment management or financial services environment.
Skilled in data reconciliation and troubleshooting with ability to escalate issues appropriately.
Comfortable communicating complex performance concepts and collaborating cross-functionally in a global team setup, including working flexible hours with US colleagues.