Qualification & Certifications
Post Graduate, preferably an MBA in Finance from a reputed institute.
FRM/CFA/Financial industry related certification is an added advantage.
Fresher/Experienced candidate with 1-2 year post-graduation experience in any financial firm.
Experience in Performance Measurement will be an added advantage.
Primary Skills (Must Have)
Good understanding of Equity, Fixed Income and Derivative instruments.
Knowledge of Investment Management industry.
Knowledge of security analysis and portfolio management, stock exchange markets, financial markets, dividends, trading and settlements is required.
Excellent analytical and problem solving skills.
Basic MS office skills.
Exposure to POINT/Yield book/Factset is an added advantage.
Secondary Skills (Good to Have)
Team player and ability to multi task.
Proven ability to work accurately and independently.
Proven ability to prioritize work to meet/exceed deadlines
Good communication skills.