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5.0 - 9.0 years
0 Lacs
hyderabad, telangana
On-site
As a Manager in the Portfolio Valuations practice, you will collaborate with Directors and Partners to conduct valuations of private debt and equity investments. Your primary responsibility will be managing a team of valuation analysts to develop and present valuation models and conclusions to senior leadership. Your role will involve providing a range of valuation advisory services to clients, such as assessing portfolio company debt and equity values, purchase price allocations, and valuations of complex securities like stock options. You will work on designing various valuation models, including discounted cash flow, market multiple analysis, and option pricing. Additionally, you will be responsible for analyzing a diverse range of illiquid investments across different industries and geographies. Client interactions will be a key aspect of your role, where you will gather relevant information for the valuation process and present your analyses and conclusions effectively. To excel in this position, you should hold a Bachelor's or Master's degree in Finance, Accounting, Economics, or an MBA. Professional certifications such as CFA and/or ASA are preferred or actively pursued. A minimum of 5 years of experience in developing and reviewing valuation models, financial models, and strong analytical skills are essential. Proficiency in software tools like MS Excel, Word, and PowerPoint, along with excellent communication skills, will be crucial for success in this role. Your commitment to maintaining technical expertise in valuation practices and alternative investments industry, along with your ability to collaborate effectively with diverse teams and uphold professional standards, will be key to achieving the team's goals and strategies.,
Posted 1 month ago
2.0 - 7.0 years
2 - 7 Lacs
Mumbai, Maharashtra, India
On-site
Role & responsibilities Be able to Identify-analyze live derivative data to generate intra-day as well as positional Index Option Trading recommendations and Option strategies with Payoff construction. Be able to Formulate trading ideas (Future, Option, Pair Trades) based on derivatives data Have rich knowledge in option pricing, Option Greeks and hedging strategies with understanding of trade economics, pay-off profiles, and pricing factors Have knowledge in conducting Open Interest Analysis, FII Derivate Data Analysis, Rollover Analysis, Hedging Strategies and implementing the same in option strategies for favorable risk/reward gains Be able to Provide market outlook to the RMs on the basis of news, important events and derivative data Be able to Generate & explain derivative strategies to priority clients & RMs Be Efficient in interpreting derivative data for preparing analytical derivative reports on daily basis. Be able to take Training Sessions/Webinars for Basic & Advanced Derivative Indicators. Preferred candidate profile Graduate / MBA Relevant work experience in Derivative Research min 2-3 Years
Posted 2 months ago
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