Job Description

RESPONSIBILITIES

  • Have a Master’s/Bachelor's degree or equivalent in Finance, Engineering, or similar fields.
  • The candidate should have knowledge of all investment product types, including those used for fixed income mandates (e.g., structured products and credit derivatives).
  • Basic understanding of concepts like VaR, Stress Testing, Back Testing etc.
  • Understanding of portfolio performance calculations and performance reports associated with accounts and composites.
  • Analytically inclined, with knowledge of programming (example Python) being an added advantage.
  • Ability to perform financial/mathematical calculations (or analysis) using MS Excel or other relevant tools.
  • Knowledge of financial instruments, markets & analytical understanding.
  • Ability to work under pressure, perform multiple tasks in a fast-paced, team environment, organize & prioritize workflow.
  • Flexible to work in rotational shift including US shi...
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