
Portfolio Analysis Group - Performance - Associate
- India
- Permanent
- Full-time
- Calculate performance returns and performance attribution across product range, ensuring accuracy and timely delivery
- Overseeing a broad spectrum of performance measurement & attribution calculations and creating reporting across several regional offices
- Analyze performance and attribution reports, and effectively communicate results to senior management, client portfolio managers and portfolio managers
- Be a driver of the development and implementation of the performance and attribution systems with best industry practices
- Monitoring data quality and performing compares between computations from different sources (e.g. internal vs external)
- Interpreting results and producing attribution commentary for a range of portfolio strategies/mandates (long and short duration, emerging markets, high yield, etc.) including determining sources of alpha and identifying the factors responsible for these results
- Providing regular and bespoke risk and return analysis to portfolio managers and investment specialists
- Bachelor's degree in Finance, Economics, Mathematics or Computer Science (or similar discipline)
- Passion for the investments business and financial markets
- Strong quantitative skills, comfortable with formulas, performance measurement methodology and risk measures
- Understanding of the various businesses/products within the Asset management & Wealth management space
- Knowledge of portfolio accounting principles, and performance and attribution methodologies
- Solid analytical ability to research and analyze complex data sets
- CIPM/CFA or progress toward designation a plus
- Some working knowledge of securities operations, trade processing, mainframe accounting systems and performance system architecture a plus