Job Description
We are looking for a resourceful candidate to join our Financial Operations group, based out of the firm’s Hyderabad office.
The Financial Operations group is an integral part of our global operations. If hired, you will support one of the functions mentioned below.
Compliance - The Compliance group is responsible for implementing and enforcing policies and procedures across multiple regulatory requirements, where you will be assisting front office trading desks by conducting thorough research on the firm’s positions and applicable regulations for each asset class across jurisdictions through the deployment of advanced data analytics and data visualization techniques like statistical analysis, predictive modelling, clustering, etc. on tools like PowerBI and others. You will also perform regulatory filing obligations, requiring complex quantitative and qualitative analysis of the firm’s short position and long ownership reports across US, UK, EU, Japan, etc. jurisdictions, and assist in monitoring and implementing controls designed to ensure compliance with global regulations by deploying various data analytics and visualization techniques. Additionally, you will be conducting thorough analysis on the fundamental research data collected by the trading groups through their interactions with external industry experts/consultants around various market sectors to avoid potential trading while in possession of material non-public information. Furthermore, you will be assisting with long- term projects to maintain the firm’s high standards of compliance with new and existing regulations.
Investor Relations (Marketing Communications) - The team is focused on building and maintaining institutional-grade, data-driven investor materials that reflect analytical rigor, strategic clarity, and intellectual sophistication. The successful candidate will operate as a core member of our team — transforming complex investment inputs into clear, structured, and scrutiny-ready communication for institutional audiences.
You will develop and refine investor-facing materials with a strong emphasis on data-driven analysis and accurate representation of results. You will translate complex portfolio construction, risk management frameworks, and performance drivers into clear, structured, and compelling institutional communication. You will elevate the intellectual quality, clarity, and consistency of messaging across materials by partnering with internal teams to synthesize inputs into cohesive narratives. You will challenge and refine messaging to ensure clarity, precision, and institutional tone. You will maintain consistency of language, positioning, and data integrity across all documents. In addition, you will improve documentation workflows and content repositories, collaborate with technology teams to streamline content management and data reporting processes, and identify opportunities to increase efficiency while preserving analytical rigor.