Job title     
     Senior Research Analyst    
      Location     
     Powai, Mumbai    
      Experience     
     2-5 years    
      Notice Period     
     Not more than 30 days    
      Job Duties     
  -      Create on-demand discrete deliverables (i.e. industry / company profiles, market maps, detailed comparables etc.)     
  -      Prepare detailed profile of select industry/company, which includes market size, key drivers, risks, business models and competitive overview     
  -      Create in-depth operational and financial benchmarking for select sectors     
  -      Build trading and transaction comps to arrive at appropriate valuation multiple for target companies using Capital IQ,     
  -      Spread historical financials/metrics of private/public companies in excel     
  -      Build company and industry presentation decks capturing key investment thesis     
  
      Qualification     
     MBA in Finance from premier institution or Chartered Accountant    
      Skills Required     
  -      Strong accounting knowledge with ability to build detailed financial models     
  -      Excellent Excel and PowerPoint skills (must)     
  -      Experience in Investment banking and/or private markets     
  -      High level of attention to details and accuracy     
  -      Strong communication skills - should be able to articulate well with clients over phone and email in English     
  -      Knowledge of Capital IQ, Pitchbook, Bloomberg is an added advantage     
  
      Position     
     1    
      About CRISIL Global Research and Risk Solutions (GR&RS)   -    
     CRISIL GR&RS serves corporates, investors and financial institutions - including commercial and investment banks, insurance companies, private equity (PE) players and asset management companies (AMCs) - globally helping them make sound decisions, improve productivity, increase revenue, enhance returns and strengthen market position.    
        
     Our research support imparts superior business insights to clients, improves their institutional ranking, leads to path-breaking strategies, and helps widen their coverage and enter new markets.    
        
     Our seasoned derivatives, quantitative, risk and actuarial specialists offer incisive analytics for the internal models of clients, measure risks in real-time, and help transition to a more robust risk and trading platforms in a fast-changing environment. Our specialists also help comply with regulatory requirements, model validation, stress testing and Solvency II.