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  • projects/reports simultaneously Analytical skills Eye for detail (access to large databases) Knowledge in investment banking/capital markets Ability to handle work with multiple/global stakeholders Any programming, VBA knowledge would be a plus

  • Roles and Responsibilities: Daily monitoring, review of margin and changes in risk and portfolio composition for Uncleared Swap Margin clients. Understand deeply and contribute to build out of the Sensitivity based Margin Methodology in practice from ISDA for Uncleared Margin products. Work closely with the Un cleared Margin programme team to research, analyse and document key business requirements ...

  • and infer its implications for the asset classes Contribute towards various studies required as the input for the regional and global investment committee's assessment of financial markets Contribute towards various internal and external client presentations and publications Functional Preparing

  • and infer its implications for the asset classes Contribute towards various studies required as the input for the regional and global investment committee's assessment of financial markets Contribute towards various internal and external client presentations and publications Functional Preparing

  • 3-8 years of business analysis experience. Document requirements and processes (BRD, FSD, test scripts, etc.) Such that they can be shared with IT for implementation Ensure adherence to EMEA project governance framework for all project artefacts. Knowledge of Investment banking operations. Business Analyst (Investment banking + Capital Market) 3-8 years of business analysis experience. Document requirements and ...

  • 3-8 years of business analysis experience. Document requirements and processes (BRD, FSD, test scripts, etc.) Such that they can be shared with IT for implementation Ensure adherence to EMEA project governance framework for all project artefacts. Knowledge of Investment banking operations. Business Analyst (Investment banking + Capital Market) 3-8 years of business analysis experience. Document requirements and ...

  • 3-8 years of business analysis experience. Document requirements and processes (BRD, FSD, test scripts, etc.) Such that they can be shared with IT for implementation Ensure adherence to EMEA project governance framework for all project artefacts. Knowledge of Investment banking operations. Business Analyst (Investment banking + Capital Market) 3-8 years of business analysis experience. Document requirements and ...

  • or with the support of other team members. Role provides wide exposure into investment banking industry across traditional banking (ECM Cash, DCM Cash, M&A, ALF) and non-traditional banking (RSG, SSG, ISG, Equity Solutions), with secondary exposure to other wholesale businesses, such as Fixed Income and Equities ...

  • 8 to 10 years for industry experience and relevant experience Requirements Gathering, Documentation Functional Requirements Document creation. Testing Expertise, should be able to independently conduct QA testing and assist in UAT as well as Production Sanity checks Well versed in Financial Risk Management, Market Risk and Credit Risk. 8 to 10 years for industry experience and relevant experience ...

  • 8 to 10 years for industry experience and relevant experience Requirements Gathering, Documentation Functional Requirements Document creation. Testing Expertise, should be able to independently conduct QA testing and assist in UAT as well as Production Sanity checks Well versed in Financial Risk Management, Market Risk and Credit Risk. 8 to 10 years for industry experience and relevant experience ...

  • trading activity Follow the Global markets on a daily basis to understand how macro-economic factors affect the portfolios risks and investment decisions Qualifications: B. TECH (MANDATORY) Post Graduate - MBA (Finance) Added advantage CFA level 1 or 2 /FRM level 1 Skills/ Requirements: (2 - 4 years of experience) Process Specific Skills Candidate must possess 2 - 4 years of experience and knowledge of fixed ...

  • to effectively respond to client requests by monitoring daily trading activity Follow the Global markets on a daily basis to understand how macro-economic factors affect the portfolios risks and investment decisions Qualifications: Any Graduate Post Graduate - MBA (Finance) Added advantage CFA level 1 or 2 Skills required: Students of Market, MBA, CFA, FRM, Candidates having experience in capital market ...

  • to effectively respond to client requests by monitoring daily trading activity Follow the Global markets on a daily basis to understand how macro-economic factors affect the portfolios risks and investment decisions Qualifications: Any Graduate Post Graduate - MBA (Finance) Added advantage CFA level 1 or 2 Skills required: Students of Market, MBA, CFA, FRM, Candidates having experience in capital market ...

  • trading activity Follow the Global markets on a daily basis to understand how macro-economic factors affect the portfolios risks and investment decisions Qualifications: Any Graduate Post Graduate - MBA (Finance) Added advantage CFA level 1 or 2 /FRM level 1 Skills/ Requirements: (2 - 4 years Skills required: Students of Market, MBA, CFA, FRM, Candidates having experience in capital market with SQL Knowledge. Good ...

  • Have in-depth knowledge of Indian Mutual Funds and other asset classes; Understand both Debt and Equity markets; Be able to identify investment strategies; Have excellent business writing skills; Have excellent command over MS Excel; A minimum qualification of B.com and MBA in finance

  • Urgent hiring for Domestic Research profile. Candidates must Have in-depth knowledge of Indian Mutual Funds and other asset classes; Understand both Debt and Equity markets; Be able to identify investment strategies; Have excellent business writing skills; Have excellent command over MS Excel ...

  • activity Follow the Global markets on a daily basis to understand how macro-economic factors affect the portfolios risks and investment decisions

  • Roles and Responsibilities: Strong track record in risk management with a leading Corporate and/or Investment Bank. Strong knowledge of Excel, SAS, SQL Ability to produce reports and interrogate systems to produce analysis and resolve discrepancies/queries Strong understanding of Credit Risk

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