Job Profile:
- Conduct analysis on debt/ fixed income securities in order to make recommendations regarding investment strategy.
- To evaluate the creditworthiness of an issuer and assess the relative value of its bonds
- Makes recommendations based on credit risk and yield in order to earn high returns.
- Stays abreast of trends and news, such as competitive position and financial stability of organizations, in order to identify potential risks.
- Evaluate industry trends and current fixed income market conditions;
- Analysis of RBI Monetary policy with respect to its likely effects on the debt market in terms of Yield ;
- Monitoring the likely issuance calendar of RBI with regards to OMO & SDL offering & likely impact on the market
- Attending the IPO meet of Bond & publish report on same with respect to Subscribe or Avoid;Keeping track of Upgrades & downgrades by the rating agencies;
- Reviewing various Mutual Fund schemes portfolio with basic help of Mutual Fund research dept.
- Meeting with various banks,PD.,Financial Institution Treasury Head & MF Fund manager to gain knowledge on the market situation
Position requires 3 to 4 yrs of Credit research experience of fixed income securities/segment
- High proficiency in Excel (financial modeling) and Bloomberg, strong computer application skills necessary
- Embrace working in a team environment and possess strong interpersonal skills
- Ability to prioritize responsibilities and multi-task
Qualification: MBA (Finance)/CA/CFA)
CTC: 9 to 10 Lacs
- Opening is with the Fixed Income Division of a Stockbroking firm.
Please apply ASAP.
Anupama Bhaskaran - 9920169061
Recruitment Consultant
Ability Unleashed
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