Trading, Asset & Wealth Management - Other - Banking (1-2 Yrs Exp)
HDFC BankJob Highlights
Required Skills
Job Description
Role Summary:
We are seeking a highly analytical and research-oriented individual with a Doctorate/PhD to join our Trading, Asset & Wealth Management division. This role is ideal for someone with 1-2 years of experience looking to apply advanced quantitative and economic principles to investment strategies and client advisory within the Indian banking sector. You will contribute to developing and implementing sophisticated financial models and providing insights to support our wealth management and asset allocation decisions.
Key Responsibilities:
- Conduct in-depth research on market trends, economic indicators, and investment vehicles to identify potential opportunities and risks.
- Develop and backtest quantitative trading strategies using statistical and econometric models.
- Assist in the creation of customized investment portfolios for high-net-worth individuals, aligning with their risk tolerance and financial goals.
- Analyze the performance of existing investment portfolios and provide recommendations for rebalancing.
- Prepare detailed reports and presentations on market analysis, investment strategies, and portfolio performance for senior management and clients.
- Collaborate with relationship managers to understand client needs and provide expert advice on wealth management solutions.
- Stay abreast of regulatory changes and ensure compliance with all relevant financial regulations in India.
- Utilize advanced analytical tools and software for data analysis and financial modeling.
About HDFC Bank
HDFC Bank Limited is an Indian banking and financial services company headquartered in Mumbai. It is India's largest bank by assets and India's second largest bank by market capitalization. The bank was incorporated in August 1994 and commenced operations as a banking company in January 1995. It was promoted by the Housing Development Finance Corporation (HDFC).
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