Key Responsibilities
You will work closely with portfolio managers, risk managers, analysts, and CIOs to analyze portfolios and uncover alpha, beta, and idiosyncratic drivers.
Your key objectives include designing and validating analytics that solve real institutional workflows, turning complex financial data into clear, actionable insights that shape product and investment decisions.
Key qualifications for success include a Bachelor's or Master's from a top-tier institution, 2–4 years in front-office finance, and a strong math and stats background. Top performers with deep investment fluency and elite analytical, modeling, and communication abilities are highly preferred.
Portfolio Analyst • Malappuram, Kerala, India