Posted By
Posted in
Banking & Finance
Job Code
795329
Job Details:
a. Organization :An integrated financial services firm
b. Department : Investment Research.
c. Reporting to: Director
d. Role: Debt Research Analyst
e. Work Location: Mumbai (Nariman Point)
Debt Research Analyst : Detailed JD:
- Quantitative and qualitative analysis of debt portfolio and securities
- Analysis of Competitive Spreads and Duration
- Building models for debt portfolio based on macro events and special case situations
- Building Quantitative Models - Analyzing long term historical index data
- Tracking debt indicators and market movements on a daily basis
- Trend analysis of Macro numbers, news & events and generating reports on the same
- Organizing and consolidating the debt portfolio
- Create comparative sheets of various debt instruments as and when required
- Creating Valuation of securities and portfolios
- Coordinate for portfolio related data and transactions
- Generating Daily, Weekly and Monthly Fixed Income Research reports
Debt Portfolio Management:
1.Create Model Portfolios
- Track and Analyze portfolio
2.Assist in Execution of Strategies
- Suggest strategies to generate outperformance over the benchmark
- Analyze past performance and provide attribution analysis
- Preparing and presenting portfolio performance, market review/outlook on monthly/quarterly basis
Required Qualifications :
- Masters of Business Administration (MBA)/Chartered Accountant /CFA
- Excellent verbal, written, and interpersonal communication skills
- Knowledge and understanding of Portfolio analysis & dealing (Debt)
- Work experience in a related field is preferred (1-5 years)
- Good Analytical and Decision-making skills
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Posted By
Posted in
Banking & Finance
Job Code
795329