You will play a crucial role in the team by assisting in the asset allocation process for various investment portfolios, supporting strategic decision-making.
Your responsibilities will involve analyzing market data, building financial models, and contributing to investment strategy formulation.
Key Responsibility
- Conducting in-depth market research and analysis.
- Developing and maintaining financial models for asset allocation.
- Preparing reports and presentations on investment recommendations.
- Assisting in the development and implementation of investment strategies.
- Monitoring portfolio performance and making adjustments as needed.
Qualification Required
- Master's degree in Finance or Economics.
- Strong analytical and modeling skills.
- Proficiency in financial software (e.g.,
Bloomberg Terminal).
- Excellent communication and presentation skills.
- Understanding of various asset classes and investment strategies.
Additional Details
The company offers a range of benefits including a competitive salary and benefits package, global career opportunities, continuous learning and development programs, a energetic and challenging work environment, comprehensive health benefits, and a retirement plan.
Your day-to-day activities will involve market analysis, financial modeling, and contributing to strategic investment decisions.
📌 Financial Analyst Asset Allocation (India)
🏢 Citi
📍 India
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