
Associate - Investment Portfolio Construction
- Mumbai, Maharashtra
- Permanent
- Full-time
- Develop portfolio construction/optimization models, risk & return calibration and utilize your expertise in selecting appropriate investment vehicles, including stocks, bonds, mutual funds, exchange-traded funds (ETFs), and alternative investments, to construct well-balanced and diversified portfolios.
- Conduct comprehensive analysis of clients' existing portfolios, including asset allocation, performance evaluation, and risk assessment.
- Develop UI and UAT testing of existing tools developed from methodology and output standpoint
- Provide day-to-day support to Portfolio Managers, including data aggregation, analytics and reporting
- Implement risk management techniques to mitigate portfolio risks, including monitoring and adjusting asset allocations, setting risk limits, and employing hedging strategies when necessary.
- Propose new and redesign existing process flows, models and excel based models/tools to achieve efficiencies and controls.
- Prepare and present comprehensive investment reports to clients, summarizing portfolio performance, asset allocation, and investment strategy updates.
- Co-ordinate with multiple teams for managing the portfolios effectively
- 4+ years of work experience in Quantitative portfolio construction / modelling / Portfolio management / Investment strategies team as researcher or PM or equivalent data science role
- BE/B Tech from a top tier college and/or master's in finance / Financial Engineering / Econometrics / Quantitative Finance / MBA
- Strong background in portfolio management and construction with analytical mindset. Experience in statistical analysis and testing toolsets.
- Understanding of macro (fixed income/ rates) and systematic factors affecting a portfolio
- Under Graduate /Graduate Degree in a quantitative discipline such as mathematics, physics, statistics, engineering, etc.
- Hands on UI development and integration experience
- Experience executing process automation or user tool automation projects
- Excellent written and verbal communication skills, with the ability to present logically, precisely and in a simple manner, complex and technical issues
- Ability to parse complex tasks and juggle priorities in a highly dynamic professional environment
- Strong initiative, interpersonal skills ,entrepreneurial spirit and ability to think creatively, while also being able to collaborate with other
- CFA/ FRM or MBA Finance preferred
- Fluent programming skills in Python required. Experience in R or Matlab good to have.
- Preferably in an asset/wealth management organization
- Experience with Portfolio construction and investment strategy consulting
- Experience with UI development and backend integration for internal tools/products
- Hands-on experience with econometric analysis and market risk modeling is a plus