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Jobs in Finance

May 3, 2014

Job Vacancy 1

Job Title: Investment Associate

Firm: Financial Advisory Firm

Location: Mumbai

Job Purpose:

Assists and writing Business Model, creating company valuation and making information memorandum and creating financial and business strategies

  • Analyzing financial information relating to specific companies, e.g. company results, profit and loss and cash flow statements
  • Understand each service industry in length
  • Collect and analyze data and information which is valuable for creating Business model and Information memorandum
  • Meeting with companies and understanding the business in detail
  • Formulating a plan/proposal and presenting it to the client or senior management;
  • Writing detailed reports and presenting results;
  • Undertakes research to provide information and investment ideas to fund managers.
  • Financial Modeling
  • Excellent and fluent in English communication and writing. Good command over language and grammar and analytical mind with an ability to handle data to work in quantitative research
  • Excellent people skills and confidence when dealing with a wide variety of people·

Experience Required: Fresher (0 – 1)

Qualification: PGCFR / CFA / CCRA

Interested Candidates should send their updated resume to

Pankaj Mehar
Pankaj Mehar

I have done my Advance Financial Modelling certification from EduPristine. I have gained valuable knowledge about the financial modelling, valuation, M & A transactions, infrastructure project modelling, macros etc.

I would like to thank pristine for their placement assistance. They regularly send the mails regarding the suitable openings. I recently got the job because of their assistance.

Job Vacancy 2

Job Title: Analyst

Firm: Leading KPO

Location: Gurgaon

Job Responsibilities:
  • Produce and quality control the Green Package for all internal and external clients.
  • Maintain data and analytics reported in the Green Package and other Aladdin tools. Coordinate with internal and external teams to ensure data input quality.
  • Subject matter experts for all content (Risk/Returns/Performance) that is reported within the Green Package.
  • Continuously streamline the Green Package process through production and engineering improvement.
  • Understand the client needs and work with internal Teams to provide relevant and intuitive analysis through the Green Package platform.
Skills required:
  • Ability to learn quickly and grasp training essentials. Good Academic Background
  • Should be proactive in taking initiatives out of the core scope of work.
  • Should be very high on time management and multi-tasking to manage time bound deliverables
  • Should be technology oriented in order to understand and learn UNIX, SQL, etc
  • Basic knowledge of MS Office suite (Word, Excel, PowerPoint)
  • Should be proficient in Internet usage, web browser, search engines
  • Basic IT knowledge and familiarity of operating systems (Windows 95/98/2000/NT)
  • Understanding of Capital Markets industry with special reference to US capital markets
  • Desirable: understanding of Fixed Income Securities.

Travel required? Yes – Rarely only for Cross training & Coverage


Deliver high level of service through responsiveness and accuracy

  • Versatility, flexibility, and a willingness to work with constantly changing priorities
  • Work with team members in multi-office, multi-country environment across several time zones
  • Strong organizational skills
  • Able to manage priorities and workflow
  • Provide documentation and accountability


  • CFA / FRM / PGCFR / CCRA with Post Graduate / MBA with 0 - 2 year of experience.

Interested Candidates should send their updated resume to

Job Vacancy 3

Job Title: Analyst

Firm: Leading Broking Firm

Location: Delhi & Mumbai

Job Description:-
  • Keeping abreast about the world economy, Indian Economy, and factors impacting the capital markets – Especially Fixed Income Market.
  • Meeting Corporate and Promoter Clients in the region and sharing information on Fixed Income and mutual fund segments.
  • Building and maintaining client relationships with the motive of generating steady revenue stream.
Skills & Qualifications:
  • Good Understanding of Fixed Income Markets, Macro Economics fundamentals & Mutual Funds.
  • Good grasp on the English Language.
  • High level of Confidence and good presentation skills.
  • Most important of all – eagerness to Learn and Perform.

Qualification: Atleast CFA Level - 1 Cleared

Interested Candidates should send their updated resume to

Pankaj Mehar
Sandeep Singh Bhatia

I'm having a total work experience of about 4.5 years and I'm an Certified FRM Charter holder. I took regular training classes for my FRM exam preparation from EduPristine and I've got selected in HSBC through their placement assistance. I would like to thank EduPristine for all their support.

Job Vacancy 4

Job Title: Financial Associate

Firm: Leading KPO


Job Responsibilities
  • Analysis of financial statements and identifying the reasons for change in trend of key
  • Financials including profitability, liquidity and gearing ratios.
  • Understanding of different valuation methods (DCF, Relative, SOTP etc)
  • Working knowledge of the financial databases such as Bloomberg, Thomson, Capital IQ etc.
  • Strong Secondary Research capabilities
Skill Set:
  • Strong accounting knowledge and a thorough understanding of financial statements
  • Ability to work individually and in the team.
  • Excellent oral and verbal communication.
  • Ability to handle pressure
  • Will be responsible for direct interaction with the client.
  • Ability to train and mentor junior analysts.
  • Responsible for delivering 100% quality to the client directly.
  • Meeting strict deadlines.
  • Ability to work individually and in the team.
  • Excellent MS excel knowledge
  • Strong financial domain knowledge
  • Good secondary research skills

Qualification – PGCFR / CCRA / CFA / MBA or Post Graduate in Finance with sound knowledge of fundamental and technical analysis.

Experience Required – 2 - 4 Years

Interested Candidates should send their updated resume to

Job Vacancy 5

Job Title: Financial Associate

Firm: Leading KPO


This is an opportunity for individuals looking to launch their career in Mortgage Banking Industry. Eligible candidates would be provided an opportunity to work in Company’s Core Departments, such as:

  • Pre-Risk Analysis
  • Assessment of risk associated with complex financial products
  • Analysis of key documents such as title reports, appraisals,
  • income and asset statements
  • Assist clients in making better credit decisions
  • Risk Analysis Quality Control
    • Audit the work completed by Loan Setup, Pre-Risk Analysis and
    • Risk Analysis teams
    • Review of loan decisions by Risk Analysts
    • Provide feedback to Risk Analysts
    • Verify system for accuracy of information
  • Doc Drawing
    • Review of documents prepared by systems to ensure accuracy
    • Reconcile fees in system with Settlement Statement
    • Prepare final legal documents required for closing a mortgage
  • Funding Audit
    • Ensure that all loans are funded in compliance and without any
    • defects or quality control issues
    • Verification of loan documents to ensure that the loan is in
    • compliance with Federal, State and Investor guidelines
  • Hedging Analysis
    • Assist Capital Markets team in managing financial risk
    • Daily audit of loans locked to ensure only active loans are hedged
    Sales reporting to the hedging vendor 
    • Must be a quick learner, responsible and able to handle tasks independently
    • Proficiency in communication (both written & verbal)
    • Good analytical skills

    Qualification Required:

    • PGCFR / CFA / CCRA

    Interested Candidates should send their updated resume to


    About the Author

    Trusted by Fortune 500 Companies and 10,000 Students from 40+ countries across the globe, it is one of the leading International Training providers for Finance Certifications like FRM®, CFA®, PRM®, Business Analytics, HR Analytics, Financial Modeling, and Operational Risk Modeling. EduPristine has conducted more than 500,000 man-hours of quality training in finance.


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