17/11 Bhavin Rajani
Recruitment Team at HSBC

Views:1253 Applications:266 Rec. Actions:Recruiter Actions:0

HSBC - AVP - Analytics - Asset Management Group (5-8 yrs) Premium

Bangalore Job Code: 864817

The Opportunity: (Brief Overview of the Role)

HSBC's Global Asset Management arm are seeking an experienced AVP with a proven background in investment to support the management of portfolio analytics specialists. The team will be responsible for independent production of comprehensive risk analysis and analytics services to the global CIO office and the front office function for all investment strategies managed globally by HSBC AMG. Please note that the candidate's workload is equally split between managerial responsibilities and core production.

What you- ll do: (List out Key Responsibilities)

- Provide comprehensive statistical analysis and interpretation on core products across all investment strategies, servicing local CIO offices and investment professionals

- Deliver regular investment updates, commentary and support to investment teams

- Manage the global governance oversight reporting process

- Oversee all analytics operations to correct discrepancies and ensure quality

- Help ensure the analytical toolset available on fund manager desktops allows for accurate and informed decision making

- Ensure proliferation of investment risk ideas within the global analytics teams, the front office business and senior management and support and coordinate analytics projects

- Provide support and guidance for members of the team on a day-to-day basis

- Be highly supportive in enhancing and streamlining processes and the development of individual team members

- Foster and maintain close integration with the onshore team and stakeholders

- Support the onshore Global Head

What you will need to succeed in the role: (Minimum Qualification and Skills Required)

- Minimum of 5-8 years- experience in an investment risk, portfolio analytics or fund management capacity, preferably as analytics manager

- Good academic records, preferably within finance or economics

- Strong understanding of risk sensitivities and modern portfolio theory

- Practical application of risk and other analytical systems with strong analytical and problem solving skills, preferably across all asset classes

- Positive and proactive attitude with flexibility to accommodate changing environment and willingness to take on new responsibilities

- Excellent communication skills with the ability to converse at all levels

- Knowledge of VBA; familiarity with business intelligence tools (e.g. Tableau)

- High problem-solving aptitude (think outside the box) and high attention to detail

- Lead by example through openness and trustworthiness and create and inclusive environment

- Continuous development of the team and individual members is a must

- Is aware of the Operational Risk scenario associated with the role and acts in a manner that takes account of operational risk considerations

- Understands, follows and demonstrates compliance with all relevant internal and external rules, regulations and procedures that apply to the conduct of the business in which the jobholder is involved, specifically Internal Controls and any Compliance policy including, inter alia, the Group Compliance policy

What additional skills will be good to have? (List out good to have skills and certifications)

- Qualified CFA or equivalent would be an advantage

- Candidates with the following working knowledge will be preferred:

a) SQL

b) Tableau

c) Bloomberg PORT

d) Pyhton

Women-friendly workplace:

Maternity and Paternity Benefits

Add a note
Something suspicious? Report this job posting.