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Operations Analysis Analyst (Campus Hiring)
S&P Global
Updated on: 16 January 2025
Additional Details
Website
Work Location
Noida, Gurgaon
Job Type
FTE
Batch
2025
Stream Required
MBA/PGDM Finance Major
Salary
6-10 LPA (Expected)
Job Description
The Role: Operations Analysis Analyst
The Team:
Derivative Pricing, Fixed Income pricing, Bond reference data and client servicing team.
The fastest-growing product of S&P global is offering in the arena of independent cash and derivatives valuations. With access to the most unique and wide cash and OTC derivatives data set from the highly regarded Totem Service and consensus cash pricing services, Portfolio Valuations is in a privileged position as a third-party cross-asset valuations provider, to accurately calibrate its models to the market and provide independent valuations for exotic cash and derivative products.
The Impact: PVR is looking to expand its product coverage in the Asia-Pacific region. We are looking for a quantitative, commercial-minded, and motivated candidate to work closely with the local sales and global product teams in pitching PVR business to prospective clients, identifying further business opportunities with existing clients, lead the on-boarding of customers, providing analytical product expertise to the clients and local analysts and production of daily/weekly/monthly delivery. We help our customers better understand complicated markets, reduce risk, operate more efficiently, and comply with financial regulation. Our services benefit the entire financial enterprise, from traders, portfolio managers, risk managers, compliance officers and operations teams to regulators and many others.
Responsibilities:
Regular daily valuations for client-portfolios and addressing client queries.
Implementing prototype pricing models and/or testing production valuation models for non-standard instruments originating in the region.
Providing response to complex/quantitative queries about data and valuation products.
Identify data quality improvement projects and good design practices
Identification of opportunities to enhance operational efficiency
Ability to gather data efficiently from various sources for reporting and analysis
Proven ability to utilize data and systems tools available
What We’re Looking For:
Basic Qualification
MBA/PGDM Finance Major (Passing year 2025) fresher candidates with good academic track record.
Excellent communication and interpersonal skills
Knowledge of Financial Markets / Corporate Finance is a plus
Ability to manage multiple tasks/ priorities/ projects
Strong analytical/ problem solving skills
Willing to work in rotational shifts including night shifts (IST - 6 Am to 3 Pm / 2 Pm to 11 Pm / 5 Pm to 2 Am / 6 Pm to 3 Am)
Preferred qualification
Degree in quantitative finance/finance discipline will be preferred.
CFA/FRM completed /appearing will be preferred
Strong Understanding of financial instrument types and their valuation
Strong understanding of models underlying structured valuations.
Excel/VBA, SQL, Python or other programming skills to prototype/test pricing models.
About S&P Global Market Intelligence
At S&P Global Market Intelligence, a division of S&P Global we understand the importance of accurate, deep and insightful information. Our team of experts delivers unrivaled insights and leading data and technology solutions, partnering with customers to expand their perspective, operate with confidence, and make decisions with conviction.
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