17/11 Bhavin Rajani
Recruitment Team at HSBC

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HSBC - Manager - Analytics - Global Asset Management Firm (3-5 yrs) Premium

Bangalore Job Code: 864816

The Opportunity: (Brief Overview of the Role)

The Global Analytics team are seeking highly analytical, self-driven and intellectual individuals to support the investment functions within HSBC's Global Asset Management arm. The team will be an extension to the London based group and be independently responsible for the production of comprehensive statistical analysis, design and interpretation of core products across all global investment strategies. Each analytics manager will oversee all strategies within one asset class i.e. Equity, Fixed Income or Multi Asset and develop analytical excellence.

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

- Perform independent production of core analysis for global key strategies to the highest level of accuracy and timeliness using quantitative and qualitative tools

- Maintain and provide an understanding of investment risk models and our multi-dimensional process to challenge output and tailor reporting

- Excellent written analysis on key findings and regular commentary for key strategies

- Demonstrate proficiency of risk drivers in portfolios and their implications on performance and attribution

- Take ownership of the production of quarterly investment reports to support the global Governance oversight

- Delivery of in depth analysis in specific topic areas where necessary on a regular or ad-hoc basis

- Develop a profound and trustworthy relationship with global teams and assist where necessary and support the onshore team on implementation of new analytics and continuing project work

- Enhance and streamline processes where necessary and contribute to the technical design and development of the global analytics team and products

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

Each individual will have a superb understanding of our investment process and be able to challenge our portfolio manager's discretion based on quantitative and qualitative tools. It is imperative that the investment specialist develops clear and profound opinions that are consistent and steadfast. The individual is articulate, both on a verbal and written basis, and enjoys communicating across stakeholders at varied levels.

- Candidates should hold a Master's degree or MBA with specialization in finance and preferably from an analytics background in a portfolio analytics, performance and investment risk, or fund management capacity

- Demonstrate specialization in one asset class and have at least 3-5 years of relevant experience

- Practical application of risk or other analytical systems with strong analytical and problem solving skills paired with in-depth knowledge of performance and attribution

- Profound knowledge and understanding of financial markets and their implications required

- Attention to detail and an ability to perform independently and accountable is a must

- Very good command in English and highly articulate in writing investment commentary

- Pro-active, self-driven and positive attitude coupled with the ability to multi-task and deliver under pressure and high problem-solving aptitude

- The ability to work and think as a team is crucial

- Eager to constantly improve and learn new skills

- Working knowledge of VBA

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 have a clear advantage:

a) SQL

b) Tableau

c) Bloomberg PORT

d) Python

Women-friendly workplace:

Maternity and Paternity Benefits

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