AVP/VP - Global Investment Performance Standards - Portfolio Performance Attribution - Premier Inves
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VP/ AVP - Global Investment Management (EMEA) Performance Attribution - GIPS
Timings : EMEA/ Late EMEA
Job Description :
- The prime responsibility of the team is to support Attribution analysis and Performance reporting for the EMEA Investment Management business.
- Additional responsibilities will include maintenance of production infrastructure and maintaining controls for any change to production of account settings.
- The role requires attention to detail, an awareness of the risks involved and an ability to work under pressure and strict adherence to deadlines.
Job Responsibility includes :
- Responsibility will include calculation and validation of pooled fund returns and the maintenance of GIPS composites.
- Job will also have responsibilities to ensure ongoing compliance with the Global Investment Performance Standards GIPS
- Ability to produce and interpret results from internal and external clients. Ability to foresee and navigate team and business through upcoming issues.
- Manage deliverables while servicing all ad hoc queries and requests.
- Liaise with third party providers to consolidate index returns and characteristics
- Manage all relationships with internal and external stakeholders
- Ability to handle and manage change
Job Requirements :
- Knowledge of Investment products.
- Worked and desire to work in an automated Processing environment
- Knowledge of Moneymate, Micropal and VPR would be beneficial
- Good numerical and statistical skills
- Banking Operations experience is required with exposure to performance reporting will be beneficial
- Control Oriented
- Must be highly organized and able to work to tight deadlines
- Client Focused & having Risk awareness
- Needs excellent attention to detail and a high degree of professionalism / initiative, Communication skills to deal with people at all levels
- Basic knowledge about the securities market and different financial products
- Excellent MS skills ideally to macro level
- Knowledge of market data providers/sources and indices
Minimum Qualifications :
- MBA/Post Graduation in relevant field
- IMC / CFA / CIPM would be advantageous
Minimum Experience :
- Strong Academics background with approx. 10-18 years of relevant work experience.
Technical Skills :
- A thorough understanding of fund accounting and the derivation of a NAV
- A thorough understanding of performance measurement techniques.
- Have the ability to work independently and to proactively seek guidance from others as needed
- Good understanding of indexes and the ability to create composite benchmarks.
- Knowledge and understanding of Global Investment Performance Standards and composite construction
- Prior experience on applications such as Factset, Bloomberg, Morning Star, MSCI Barra, and Bi-Sam is needed for the job
- Strong team player and has the capacity to build good working relationships with cross functional/geographical teams
- Result oriented, accepting responsibilities and challenges that take them outside their comfort zone
- Positive outlook and a desire to stretch themselves to achieve both personal and functional success.
- Partners well with peers, subordinates, managers, and LOB and functional partners
- Capability to manage and handle escalations by liaising with the internal & external stakeholders of the business.
- Strong analysis and problem solving skills required. Ability to facilitate and execute the analysis of data and technical issues
- Self-starter, shows strong self-initiative to meet deliverables and overcome issues
- Fluent English (Verbal and Written)
Candidates with relevant experience and qualifications connect on +91-9701014165 (Mon-FRi 9:30 am - 5:30 pm)
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