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23 jobs found for Analyst Cfa

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  • Masters degree in the field of finance / accounting Preferable to have additional certification courses like FRM / PRM / CFA Experience in the field of Credit / Market risk. (Preferably in the banking sector.) Understanding of different asset classes, risk classes and risk types and market data

  • Risk Analysts

    Allegis Group

    Navi Mumbai, Maharashtra

    Masters degree in the field of finance / accounting Preferable to have additional certification courses like FRM / PRM / CFA Experience in the field of Credit / Market risk. (Preferably in the banking sector.) Understanding of different asset classes, risk classes and risk types and market data

  • Essentials Skills and Qualifications: Graduate/ Post-Graduate in Finance/ Statistics/ Economics/ Mathematics; FRM / CFA would be desirable. Experience of delivering quality output under tight deadlines. Strong understanding of Market Risk concepts, calculations and prevalent regulatory guidelines

  • Risk Analyst

    Allegis Group

    Navi Mumbai, Maharashtra

    Essentials Skills and Qualifications: Graduate/ Post-Graduate in Finance/ Statistics/ Economics/ Mathematics; FRM / CFA would be desirable. Experience of delivering quality output under tight deadlines. Strong understanding of Market Risk concepts, calculations and prevalent regulatory guidelines

  • qualifications: Masters degree in the field of finance / accounting or engineering Preferable to have additional certification courses like FRM / PRM / CFA

  • reporting. # Other responsibilities include user support of Investran with a focus on reconciliation and reporting assistance, workflows and controls, and the development and customization of reporting, automations, and interfaces. Required Skills: # Candidate must be a Post Graduate, C.A. or CFA

  • reporting. # Other responsibilities include user support of Investran with a focus on reconciliation and reporting assistance, workflows and controls, and the development and customization of reporting, automations, and interfaces. Required Skills: # Candidate must be a Post Graduate, C.A. or CFA

  • reporting. # Other responsibilities include user support of Investran with a focus on reconciliation and reporting assistance, workflows and controls, and the development and customization of reporting, automations, and interfaces. Required Skills: # Candidate must be a Post Graduate, C.A. or CFA

  • and Power Point Qualifications Professional qualifications such as CFA. MBA / Post Graduate degree in Economics and / or Finance or related discipline. Experience Required Preferred - 1-3 years experience in the investment sector, with exposure in research writing. Behavioural Skills • Ability

  • Academic Qualification/ Certifications : MBA Finance Graduate (B.com/ B.A Economics/ BBA) / MBA Finance Chartered Accountant CFA ( level 1cleared and above) FRM

  • Financial & Equity Research Analyst - Healthcare - IIM/ISB/MDI/IIT/FMS/CFA "Financial & Equity Research Analyst Btech/MBA - Tier 1 Looking for profile. - B.E/ B.Tech with an MBA degree and a strong academic background. - Candidates with a CFA (US) degree would be preferred. - 3-5 years

  • degree in Finance or Economics Masters in Finance / CSC / CFA / is a plus Summary of Job Accountabilities: Generate accurate and complete daily independent P&L and publish results in a timely manner and escalate issues as per Standards. Where applicable, reconcile daily P&L and position reports

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders and internal management - Participate in brainstorming sessions and propose hypothesis, approaches, & techniques . Required ...

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders and internal management - Participate in brainstorming sessions and propose hypothesis, approaches, & techniques . Required ...

  • or first attempt with high scores) / MBA (Tier 1 / high Tier 2 colleges) / CFA (all levels in first attempt) 2-5 years of experience in Fixed income markets A good understanding of bond markets, commensurate with the experience; Good analytical, written and oral presentation skills Basic knowledge

  • or first attempt with high scores) / MBA (Tier 1 / high Tier 2 colleges) / CFA (all levels in first attempt) 2-5 years of experience in Fixed income markets A good understanding of bond markets, commensurate with the experience; Good analytical, written and oral presentation skills Basic knowledge

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders and internal management - Participate in brainstorming sessions and propose hypothesis, approaches, & techniques . Required ...

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders and internal management - Participate in brainstorming sessions and propose hypothesis, approaches, & techniques . Required ...

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