S&P Global Mumbai Senior Analyst Posts | Bachelor’s Degree/Master’s Degree | Apply Now
S&P Global is an American publicly traded corporation, with a focus on its business in the areas of financial information and analytics.
In the latest job announcement, S&P Global careers India announces job vacancies for Senior Analyst posts, with work location in Mumbai.
Under S&P Global Mumbai Hiring Senior Analyst 2021 Jobs, candidates having required skills in Python, Matlab, and/or EXCEL VBA can apply.
The selected candidate will be recruited with a permanent and full-time job.
An Interested and qualified candidate has to apply through online mode.
Job Designation: Senior Analyst.
Job Code: 268959.
Education Qualification: Bachelor’s Degree/Master’s Degree.
Experience Level: 2+ years.
Job Location: Mumbai.
Apply Mode: Online.
Responsibilities:
- This role provides a wonderful opportunity to learn the basics (“nuts and bolts”) of passive investment management and will provide a solid foundation to a career in this area of finance.
- The role would benefit from someone with an awareness of topical market trends and a desire to translate investment objectives into systematic and actionable index strategies.
- The role will encompass all elements of the index design lifecycle; including background research, client-engagement, data gathering, back-testing, and finalizing index methodologies.
- The role will also support our thought leadership program by contributing to presentations and research papers. Assist in portfolio back-testing and analysis on various investment themes and strategies to create research publications, blogs and thought-leadership pieces.
- Furthermore, given how complex and dynamic the industry is becoming the candidate will gain exposure to alternative data sets, sophisticated portfolio construction techniques, and a broad and robust range of quantitative methods in finance.
- Collaborate within the Global R&D team, as well as other functional groups, including Client Coverage, Product Management, Channel Management, Business Development, and Index Governance and Management.
What We’re Looking For:
- Bachelors and/or Masters degree or equivalent in Financial, Econometrics, or Mathematics, CFA charter holder preferable. PhD holder a plus.
- Desirable: 2+ years of experience in a financial services domain covering portfolio construction, back-testing and/or risk analytics will be valuable in delivering innovative index solutions and analysis to clients.
- Strong technical and programming skills in Python, Matlab, and/or EXCEL VBA with astute ability to handle large data sets and high volume of portfolio back-testing will be critical to the role.
- Desirable: Experience in using data vendors e.g. CapIQ, Worldscope, Factset, Reuters, Exchanges
- Detailed oriented with ability to run simulations based on methodology documents
- Must be able to manage multiple projects and deadlines.
- Must be able to effectively communicate to a variety of both internal stakeholders and external clients to ensure concise presentation on index concepts and workflow.
- Excellent written and verbal communication skills and the ability to collaborate with multiple stakeholders.
How to apply:
Interested and qualified job applicants have to apply through online mode, by initially registering with S&P Global career portal and login in to apply.
Apply Online:
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