Manager Department None Quantitative analysis: Analysis of Portfolio / Schemes / Fund Managers / AMC based on performance attribution and portfolio-based attributes. Deep understanding of capital market instruments and detailed analysis, includes MFs, PMS, INVTs, REITs, AIFs for customized research assignments; Any other form of customised research for asset managers, distributors and institutional investors Process Adherence: Ensure high quality of analysis and research output Successfully meeting deliverables and client requirements Initiatives for productivity improvement Successfully adhering to SLAs (service level agreements) on specific client engagements Documentation of processes Client Management / Stakeholder Management Continuous engagement with existing clients Creating and making presentations to client reports / other reports Open Positions 1 Mandatory Skills Analytical Ability, Consulting, Communication Skills, Presentation Skills, Report Writing Education Qualification CA, MBA Finance, CFA Experience 6 to 10 years . experiance: 72 skill: Analytical Ability, Consulting, Communication Skills, Presentation Skills, Report Writing, industry: Others
📌 Portfolio and Capital Markets Research Manager (India)
🏢 CRISIL
📍 India