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Tier-1 brand, Mumbai metro, mid-level finance role with common skillset increases competition.
Capital markets risk work is finance-specific with limited cross-industry transferability.
Explicit 3–5 years requirement and finance-risk domain mandate strict screening.
Support U.S.-based Capital Markets Risk Team in risk management and regulatory initiatives within Morgan Stanley Wealth Management’s Investment Solutions Division.
Gather, analyze, and standardize large financial data sets to identify risks and issues, escalating findings to stakeholders as needed.
Contribute to data transformation and AI enablement projects and perform annual counterparty reviews within the Capital Markets department.
3 to 5 years of financial industry work experience.
Undergraduate or Graduate degree (BCOM/BMS).
Proficiency in MS Excel, database skills, PowerPoint, Teams, and SharePoint; experience with large data set analytics.
Working knowledge of Bloomberg preferred but not required.
Experienced in financial services industry focused on Fixed Income and Equities risk management.
Detail-oriented with strong analytical, organizational, and communication skills for interacting across geographies.
Comfortable working with data transformation, AI concepts, and regulatory risk frameworks in a dynamic team environment.