CRISIL Limited, formerly Credit Rating Information Services of India Limited, is an Indian analytical company providing ratings, research, and risk and policy advisory services and is a subsidiary of American company S&P Global.
Credit Analyst – Support FI/FSR
About CRISIL Limited
CRISIL is a leading, agile, and innovative global analytics company driven by its mission of making markets function better.
It is India’s foremost provider of ratings, data, research, analytics, and solutions with a strong track record of growth, culture of innovation, and global footprint.
It has delivered independent opinions, actionable insights, and efficient solutions to over 100,000 customers through businesses that operate from India, the US, the UK, Argentina, Poland, China, Hong Kong, Singapore, Australia, Switzerland, Japan, and the United Arab Emirates (UAE).
It is majority owned by S&P Global Inc, a leading provider of transparent and independent ratings, benchmarks, analytics and data to the capital and commodity markets worldwide.
CRISIL is an equal opportunity employer and all qualified candidates will receive consideration for employment without regard to race/ ethnicity, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, marital status, military veteran status, unemployment status, or any other status protected by law.
To know more: www.crisil.com
Life at CRISIL
Be the impact
Drive growth with a strong sense of purpose.
Create lasting impact that affects individuals, businesses, and the society at large.
That’s what ‘Life@CRISIL’ is all about.
This is where you unlock the next chapter of your career – fueled by our caring culture which encourages you to learn and innovate, an environment that fosters positivity through our people-first approach and an attractive rewards & benefits program that puts your growth in the spotlight. An inspiring setting where you will find the brightest minds, inspiring you to unleash your potential.
CRISIL is a place where your ideas and opinions are always welcome, and continuous learning is the norm. Because we know that’s what it takes to solve the biggest real-world challenges and move the needle in the direction of unexplored future possibilities. All without compromising on our strong ethics.
So go ahead. Unlock the next chapter of your career.
Be the impact that transforms the world.
About GAC:
CRISIL’s Global Analytical Centre (GAC), provides analytical, research and data services to S&P Global (earlier known as McGraw Hill Financial) globally. The GAC support encompasses research and analysis, complex data analytics and modelling assignments, risk, and regulatory services, and improving workflow efficiency. GAC acts like a centralized research and analytics hub for SPGI teams spread across US, EMEA and APAC regions.
Our Services Include:
Credit analytics
Industry, Company, and Country research
Data management and enrichment (including specialized, adjusted economic data)
Modelling and forecasting (including quantitative research and analytics)
Sales and Marketing support
Risk Management and Compliance Analytics
GAC
Role Summary Functional Responsibility/Domain Related • The analyst is expected to work closely with the onshore financial institution sector lead and assist them and the team in analytics and research activities on a day to day basis • Support on articles and thought leadership pieces that will be published by the sector lead at a regional level and global FI level • Ideate and provide inputs on new themes that can be explored as potential areas of research and thought leadership • Liaise with global FI analysts and gather research on recurring articles • Work on global projects on the financial institutions space • Coordinate with data research team and seek meaningful data that can be analyzed further for trends and essential intelligence • Support primary analysts on credits and banking systems research • Explore data visualization and data crunching to come up with impactful analysis • Mentor and train internal team on research and analytics • Ensure internal processes are followed in terms of MIS, training, quality reviews etc. for self and team is completed on time. • Nimble in approach for changes and expectations from onshore analysts Process Adherence • Follow defined processes in day-to-day execution of assignments • Ensure retention, documentation, and dissemination of knowledge • Strictly practice and follow all Compliance, Confidentiality, and Information Security Policies, Procedures and Guidelines of the Organization. • suggest that trading/holding in shares belonging to a Corporate entity/Infrastructure company is prohibited 2. Client Management/Stakeholder Management • Build and maintain strong relationships with international clients • Manage a wide range of requests from various global Credit Analysts • Understand and contribute proactively to client priorities Candidate Profile 1-3 years (CA)/ 3-6 years (SCA)/ 6-8 Years (LA) of relevant experience in credit analysis and ratings, credit research, and report writing, covering global markets or domestic markets for Banking Sector/ Financial Institute • Excellent oral and written communication skills • Good understanding of international accounting standards, banking-related financial concepts, and strong analytical skills • Good interpersonal skills and ability to work with the larger team, and lead and mentor team members Essential Qualifications Two years full-time MBA (Finance) or equivalent OR CA Preferred / Additional Qualifications CFA and/or FRM certifications
1
Research Analysis, Written Communication, Financial Research, Analytical Skills
Qubix SEZ, Blue Ridge, Blue Ridge Town Pune, Phase 1, Hinjawadi Rajiv Gandhi Infotech Park, Hinjawadi, Pune, Maharashtra, India
The analyst is expected to work closely with the onshore financial institution sector lead and assist them and the team in analytics and research activities on a day to day basis • Support on articles and thought leadership pieces that will be published by the sector lead at a regional level and global FI level • Ideate and provide inputs on new themes that can be explored as potential areas of research and thought leadership • Liaise with global FI analysts and gather research on recurring articles • Work on global projects on the financial institutions space • Coordinate with data research team and seek meaningful data that can be analyzed further for trends and essential intelligence • Support primary analysts on credits and banking systems research • Explore data visualization and data crunching to come up with impactful analysis • Mentor and train internal team on research and analytics • Ensure internal processes are followed in terms of MIS, training, quality reviews etc. for self and team is completed on time. • Nimble in approach for changes and expectations from onshore analysts
PGDBM Finance or equivalent
2 to 3 Years
Senior UI Fullstack Developer
Job Responsibilities / Role:
- Designing and developing the flagship “Trader Desktop” platform, enhancing its functionality to cater to traders’ needs globally
- Working senior tech leads and with end users on requirements analysis and capture
- Troubleshooting challenging performance and scalability issues
- Liaising with the global business, support, and development teams
- Assisting in third line support during core trading hours
- Enhancing our automated testing efforts and optimizing our UAT process
Required
- 8+ years of experience in developing large-scale enterprise Web applications
- Experience in Java/ Core Java, Spring of 3 years.
- Experience in managing and implementing successful projects
- Experience building single page applications using HTML 5, Angular 8.0+, TypeScript, CSS3, SAAS, LESS and third-party JavaScript framework libraries.
- Experience with RxJS and ngRX
- Experience with writing unit tests for Angular/Typescript (e.g. JEST, Jasmine, Karma, etc.)
- Experience with building cross-platform applications using Web technologies such as Electron, Chromium, and Node.js etc.
- Experience with consuming JSON/XML based data from REST services and/or real-time streaming data
- Experience with tools such as Visual Studio Code, npm
- Experience with modern software development practices such as Agile development, test-driven development, and continuous delivery as it pertains to enterprise web applications.
Nice to Have
- Experience with C#/.NET and object oriented programming
- Experience developing large financial software trading systems.
- Knowledge of any Interest Rates products (e.g. Bonds/Swaps).
- Experience with web-based data visualization utilizing JavaScript charting libraries.
- Experience with KDB/q databases.
2
Angular, Ngrx, Rxjs, Java, Core Java, UI
Pune / Chennai / Mumbai / Bangalore / Bengaluru / Delhi
Bachelor or Master’s degree in Computer science, Financial Engineering, Physics, Engineering or Mathematics
8 to 13 Years
Associate- Real Estate
CRISIL is seeking a highly skilled and motivated Senior Analyst to join our GR&RS business, providing support to the Real Estate Asset Management Group in the Americas to our marquee client, a leading private real estate asset management firm. The ideal candidate will possess a strong background in financial analysis, with a preference for those holding a CFA designation, and experience in asset management or related fields. As an integral part of client’s team, selected candidate will play a key role in assisting in the execution of financial analyses, modeling, research, competitive analysis, trend analysis, data manipulation, development of presentations, and drafting of memoranda for internal and external use.
Responsibilities: –
- Financial Analysis: Analyzing, maintaining and collecting data from internal and external sources for investment purposes; modeling investment cash flows and affiliated go-forward investment returns
- Market Research & Competitive Analysis: Aggregating key financial data and identifying/reporting recent market trends; active communication of identified insights to New York deal team colleagues.
- Operational Analysis: Maintain accurate and up-to-date operational data to inform latest investment performance.
- Continuous Support: Develop comprehensive trackers, produce organized and strongly formatted presentations, map various P&Ls from different sources, support JV partnership oversight.
Qualifications & Skills Required:
- MBA in Finance, CFA, or CA
- Experience in commercial real estate investment firm or real estate investment banking.
- Strong financial analytical and quantitative skills
- Strong proficiency in Microsoft Office tools (MS Excel, MS PowerPoint, and MS Word)
- Strong proficiency in real estate tools such as ARGUS, Co-Star, and more
- Ability to summarize complex information succinctly and efficiently
- Excellent written and verbal communication skills
- Exceptional management of multiple projects in a fast-paced environment
- Detail-oriented with a commitment to accuracy and precision
- Capable of working independently and collaboratively while demonstrating high sense of ownership and accountability
- Thorough understanding of basic financial concepts and the ability to critically implement them
1
CMBS
Mumbai, Maharashtra, India
Masters/ CFA
1 to 4 Years
Research Analyst
GR&RS
Our esteemed buy-side client is currently looking for a highly skilled and experienced Analyst to join their Valuations Team, specializing in valuations of private companies. The ideal candidate will play a critical role in conducting valuations on private investments, updating valuations models, generating reports, and providing valuable insights. The successful candidate should have experience in valuations and modeling, with a strong preference for candidates holding a CFA designation or currently pursuing the CFA program.
Key Responsibilities:
- Conduct comprehensive valuation assessments of private equity investments, including venture capital, buyouts, and real estate assets.
- Develop, maintain, and enhance valuation models and methodologies tailored to specific asset classes.
- Collaborate with the Investment Team to assess and mitigate risks associated with existing investments.
- Perform due diligence on new investment opportunities, analyzing financial statements, market dynamics, and risk factors.
- Create and maintain complex financial models to estimate the value of investments, considering revenue projections and exit strategies.
- Monitor the financial performance of portfolio companies, track key performance indicators, and identify strategies for value enhancement.
- Prepare detailed valuation reports and presentations for internal and external stakeholders.
- Ensure compliance with industry standards, accounting regulations, and reporting requirements.
- Work closely with team members to ensure a coordinated approach to valuation and investment decisions.
Requirements:
- Master’s degree in Finance, Economics, Accounting, or a related field.
- Experience in private equity valuations within the financial services industry.
- Strong proficiency in financial modeling, credit analysis, and data analysis.
- Demonstrated expertise in assessing credit risk, financial statement analysis, and interpreting complex financial data.
- Excellent analytical and problem-solving skills, with attention to detail.
- Candidates with a CFA designation or those actively pursuing the CFA program will be given preference.
- Advanced proficiency in MS Excel, Bloomberg, and other relevant financial analysis tools.
- Strong written and verbal communication skills for presenting complex financial information effectively.
- Proven ability to work independently and collaboratively in a fast-paced, dynamic environment.
1
Valuation, Equity Valuation, Valuation Analysis
Pune / Mumbai / Gurgaon
Masters/ CFA
1 to 3 Years
Research Analyst – Global Commodities Research
GR&RS
Create and update excel based databases on a regular basis.
Gather data from various public sources, government websites and economic databases. Analysis of large datasets to identify patterns, trends & themes.
Prepare dynamic charts to enable visualization of the relation between different key macro-economic indicators/ commodity market variables.
Econometric analysis – time series, forecasting methods, panel data regressions using econometric software (Mostly eViews)
Assist in preparation and publication of weekly, quarterly and annual deliverables.
Write short notes/commentary for weekly publications.
Keep abreast with important macro-economic, political news/developments which impact the global commodities market
1
Comprehensive understanding of economic fundamentals Experience in commodities research/ macro-economic data analysis Good econometric and statistical skills Strong understanding of MS Office, particularly MS Excel Diligence, high level of attention to detail and accuracy Strong communication skills with proven ability to interact with global clients Some experience with working in a fast-paced environment Working experience of Bloomberg/Haver/CEIC is preferred Ability to effectively communicate economic/f
Chennai, Tamil Nadu, India
M.A or M.Sc in Economics/ Masters in a quantitative discipline from a reputed institute