About MSCI For more than 40 years, MSCI�s research-based indexes and analytics have helped the world�s leading investors build and manage better portfolios. Clients rely on our offerings for deeper insights into the drivers of performance and risk in their portfolios, broad asset class coverage and innovative research. Our line of products and services includes indexes, analytical models, data, real estate benchmarks and ESG research. MSCI serves 98 of the top 100 largest money managers, according to the most recent P&I ranking. For more information, visit us at www.msci.com. Position Overview: This position is best suited for a results-driven, self-starter with strong work ethic and interest in the Investment Finance field. You will have a unique opportunity to work with a cross-functional global team, build professional connections and learn the business model and the intricacies of this industry. Responsibilities: Ensure complete upload of client portfolios into MSCI's proprietary Risk Management products, namely BarraOne and RiskManager. Generate Reconciliation and Quality Assurance reports post upload of client portfolios and carry out preliminary checks for correctness of the data upload. Manage any client issues end-to-end right from providing zero level support to escalating it to the right teams within MSCI for the quick closure of these issues. Work closely with the Financial Engineering and System Integration teams of MSCI to devise and set up asset modeling and proxying solutions for financial instrument rejections arising during data loading process. Leverage their IT skills (Excel, VBA code) to come up with automated solutions to optimize client-specific workflows. Gradually gain a deep understanding of Risk Financial Management and Performance Analytics methodologies. Understand the analytics behind different MSCI products and learn in and out of the products. It's a Global Team and requires close collaboration between Mumbai and Monterrey Team. Desired experience and qualifications: Strong Bachelor degree in Engineering, Mathematics, Physics, Economics or similar subject Candidates pursuing certifications like CFA / FRM will be an added advantage Minimum 1 year of experience in financial investment domain, preferably in managing financial data for investment industry Basic understanding of global financial markets and the diverse financial instruments traded Background in risk management, systems integration and / or financial reporting will be preferred Good knowledge of Excel Exposure to VBA programming, SAS, Python or any other software related to Data Management will be an added plus Excellent verbal and written communication skills Strong organizational skills with the ability to handle multiple projects under tight, short-term deadlines Ability to work efficiently with diverse cultures on a global team A self starter and highly motivated individual with the ability to work individually and within a team Due to the great number of applications we receive for each of our open vacancies, we are unable to respond on an individual basis. To all recruitment agencies: MSCI does not accept unsolicited CVs/Resumes. Please do not forward CVs/Resumes to any MSCI employee, location or website. MSCI is not responsible for any fees related to unsolicited CVs/Resumes. MSCI Inc. is an equal opportunity employer committed to diversifying its workforce. It is the policy of the Firm to ensure equal employment opportunity without discrimination or harassment on the basis of race, color, religion, creed, age, sex, gender, gender identity, sexual orientation, national origin, citizenship, disability, marital and civil partnership/union status, pregnancy (including unlawful discrimination on the basis of a legally protected pregnancy/maternity leave), veteran status, or any other characteristic protected by law.