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AWM-WM-Portfolio Analysis Group-Team Leader

3.00 to 11.00 Years   Bangalore   05 Jul, 2022
Job LocationBangalore
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaFinance / Accounts / Tax
EmploymentTypeFull-time

Job Description

    J.P. Morgan Asset Management s Portfolio Analysis Group ( PAG ) is responsible for performance measurement and portfolio analytics for external clients and serves as a value-added source of independent analysis and thought leadership for internal clients including portfolio managers, front office advisors, sales & marketing and senior management. Analysis types and activities include, but are not limited to, rate of return calculations, return attribution, risk analytics, competitive analysis and performance composite construction. This analysis is instrumental to help external clients understand drivers of return in their portfolios and help us internally measure the effectiveness of our products and strategies. Position Summary: Key Accountabilities / Major Responsibilities:
    • Calculate performance returns and performance attribution across the product range, ensuring accuracy and timely delivery.
    • Analyze performance and attribution reports, and effectively communicate results to senior management, client portfolio managers and portfolio managers.
    • Be a driver of the development and implementation of the performance and attribution systems.
    • Think creatively and deliver innovative solutions to our complex client demands, always striving to find ways to improve processes and service.
    • Identify and correct data and process problems; engage with relevant internal teams to eliminate recurrent problems that impact our deliverables.
    • Provide the best client service experience by understanding our client s needs and developing relationships across the organization, specifically with Client Portfolio Managers, Portfolio Managers, Middle Office, Client Reporting and others.
    • Become a key contributor to the department s efforts of improving systems and technology, by actively participating in projects and testing of software and system tools.
    • Maintain high standards of quality control checks and procedures; develop and review controls in light of key business projects and business changes; be a driver of improvements.
    • Work effectively with teams and colleagues in different levels of the organization and across different geographical locations, including training and mentorship.
    Qualifications & Skills: Education : Graduation in Accounting/ Mathematics/Economics. CFA/CIPM preferred Financial Knowledge: Experience in Capital Markets /BFSI verticals (3+years ) Understanding of different instruments viz Equities, FI, Derivatives, Cash, FX or Asset Mgt methodologies, Experience with portfolio performance, investments and/or products Soft skills: Attention to detail, excellent written and verbal communication, Leadership and Delivery Focus: Fast paced working style, ability to execute multiple projects, confident personality, ability to positively influence people and projects outcome Specialize in capital markets: Project implementation in Asset & Wealth Mgt , Investment Banking Organizational & Analytical Skills: Project Management, Automations, Quality & Risk management, Oversight and control, Transition Management (testing, designing processes, documenting), Process Management (implementing, Monitoring, improving), Operation Management (reviewing, Controlling, reporting), Stakeholder Management, Team management skills, Proficiency with Excel, PowerPoint ,

Keyskills :
salescustomer relationsslaqualitycoachingteam management skillsfront officemiddle officerisk analyticsquality controlrisk managementteam managementcapital markets

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