I

Senior Investment Performance Operations Analyst

Relocation
This Job is No Longer Active This position is no longer accepting applications
AI Summary

This role involves producing and reviewing customized risk and attribution reports for multi-asset portfolios. It requires managing data, ensuring accuracy, and providing insights to improve investment strategies. The position is based in Cyberjaya, Malaysia, with relocation benefits and a focus on technical financial reporting.

Key Highlights
Responsible for risk, attribution, and performance reporting for multi-asset portfolios, including derivatives and fixed income.
Requires technical expertise in data management, including VBA, SQL, and financial systems like Bloomberg.
Includes liaising with stakeholders, ensuring compliance, and identifying operational improvements.
Technical Skills Required
VBA SQL Bloomberg Microsoft Excel Eagle IBOR MSTR
Benefits & Perks
Relocation to Malaysia
Competitive compensation (implied)
Opportunity to work with global clients

Job Description


Job Titile - Senior Analyst

Job Location - Cyberjaya Malaysia

This role will require relocation to Malaysia. The position is not based in India


PRINCIPAL RESPONSIBILITIES:

We are seeking to hire well experienced Techno-functional Investment Performance Operations Analyst. Key responsibilities of this role would include:

· Responsible for production/review of accurate Customized Investment Risk & Attribution reports for EQ, FI, Balanced and multi-currency (Institutional) Portfolios within specified timescales.

· Responsible for calculation & reporting of Daily Exposure for Trading Reporting of various funds and asset class for the global clients.

· Preparing Returns, Attribution / Contribution analysis, Risk characteristics report of multi asset (Derivatives, Equity, Fixed Income) multi manager funds while creating and maintaining ad-hoc customized reports.

· Identify, highlight and rectify the anomalies in Attribution, Risk numbers and provide the proper justification.

· Communication with other business areas necessary to improve accuracy and reliability of Risk reporting. Returns & Risk numbers reconciliation for EQ, FI and Derivative products on daily/monthly Basis.

· Proactive research and provide insight on investment Risk, deviations from benchmark; asset allocation targets and portfolio movements to clients.

· Coordinate with data providers, colleagues and clients on issues relating to the quality and timeliness of data and the content of the reports.

· Data maintenance of various derivatives (eg Bond forward/ Equity index option/ IRS/ CCS etc) and Fixed Income in application on monthly and daily basis.

· Ensuring documentation of policies, procedures and work processes and ensuring compliance with set procedures, any other assignments given by the management from time to time.

· Work with other teams and team members working for the same projects and identify business operational areas of improvements and propose appropriate action plans.

· Following up with Business Analysts for planning a process of new data acquisitions, providing the desired Risk Reporting solutions

· Ensuring documentation of policies, procedures and work processes and ensuring compliance with set procedures, any other assignments given by the management from time to time.


JOB LOCATION - Malaysia


KNOWLEDGE/SKILLS & EXPERIENCE:

To be considered, you will need 5 years+ experience that includes:

· In-depth knowledge and understanding of EQ, FI and multi Asset class portfolio Risk & Attribution reporting.

· Product knowledge of derivatives (eg Bond forward/ Equity index option/ IRS/ CCS etc) and Fixed Income

· Knowledge on Collateral/Liquidity management – e.g. Liquidity at risk (LAR), Collateral Ratios a big plus to the role.

· Proficiency in Bloomberg, Eagle IBOR, MSTR and Microsoft Office applications particularly advanced Excel skills.

· Strong knowledge and exposure to financial markets and various financial products (including performance analytics).

· Intermediate working experience of databases, systems design and proficiency in using VBA Macros, SQL for managing large volumes of data & Performance Reports.

· Strong Presentation, verbal and written communication skills. Identify the areas of automation and shall be able to develop the VB macros, Access DB tools independently.

· Degree or equivalent in a Finance, Technical, Mathematical Discipline (FRM, CIPM, CFA would be an added advantage).


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