Role Overview
We are looking for a Business Analyst with experience in financial statement spreading and financial analysis to support portfolio management activities. The ideal candidate will analyze financial statements, perform financial spreading using industry-standard templates and tools, maintain high data accuracy, and collaborate with investment and operations teams across global locations.
Key Responsibilities
Analyze and interpret Balance Sheets, Income Statements, Cash Flow Statements, and financial disclosures.
Perform financial statement spreading using sector-specific templates and financial spreading platforms.
Create and maintain company records and financial data in enterprise systems.
Validate financial information for accuracy, completeness, and compliance with accounting standards.
Conduct ratio analysis and identify key financial trends and business risks.
Interpret audit reports and identify financial red flags or qualified audit opinions.
Collaborate with Investment Officers, Operations teams, and stakeholders to resolve financial data queries.
Document best practices, financial assumptions, and process improvements.
Work in rotational shifts to support global business operations.
Ensure timely and accurate completion of assigned financial analysis tasks.
Required Skills
Bachelor's or Master's degree in Accounting, Finance, Commerce, or Business Administration.
2+ years of experience in financial statement analysis and financial spreading.
Robust understanding of financial statements, accounting principles, financial ratios, and covenant analysis.
Knowledge of IFRS, India GAAP, and working knowledge of US GAAP.
Ability to interpret audit opinions and identify financial risks.
Hands-on experience with Microsoft Excel, Word, and Google Sheets.
Experience using financial spreading tools such as Moody's CreditLens, Moody's FACT, Actico, Baker Hill, CRISIL, or similar platforms.
Strong analytical, problem-solving, and attention-to-detail skil
📌 Business Analyst (India)
🏢 Papigen
📍 India