Morgan Stanley Career Opportunities for Graduates (Engineering,Finance, Management, Technology) | 0 - 5 yrs

Morgan Stanley Career Opportunities for Graduates (Engineering,Finance, Management, Technology) | 0 – 5 yrs

Morgan Stanley (NYSE: MS) is a leading global financial services firm providing investment banking, securities, wealth management and investment management services. With offices in more than 41 countries, the Firm’s employees serve clients worldwide including corporations, governments, institutions and individuals.

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Together, we share a common set of values rooted in integrity, excellence and strong team ethic. Morgan Stanley can provide a superior foundation for building a professional career – a place for people to learn, to achieve and grow

Career Opportunities for Graduate Entry Level role 

Analyst- -Field Risk-Central Review- Wealth Management – India 

Job Description:

· Analysis of a suite of controls that cover various areas of Risk

· Reviewing data quality issues/violations of firm’s compliance policies

· Identifying possible patterns and trends during the review process

· Review and monitoring of Investment Policy statements of the clients

· Reporting of daily activities conducted within the team

· Participate in meetings with local and US supervisory teams as needed

· Providing coverage to the US team on need basis

Job Requirement:

· Problem solving skills and Strong attention to detail

· Knowledge of Exchange (SEC), FINRA and Investment Compliance Policies is an added advantage

· Understanding of financial products, trading rules and regulatory landscape

· Efficient in MS office suite, advanced excel is an added advantage

· Strong interest in deepening business knowledge of financial industry and wealth management

· Effective written and verbal communication skills

· Ability to organize and prioritize work and meet strict SLAs

Qualification:

· 0-3 years of industry experience

· Risk or compliance experience a plus

· Bachelor’s/MBA degree or equivalent work experience

For more details to apply, Click here!

Associate – Quantitative Investment Strategies [IED] – India 

Job Responsibilities:

Work on new equity and multi-asset index development – back testing, coding, tweaking codes etc.

Development of processes to improve index support, e.g. scripts to aid debugging, index code refactoring and standardization

Index oversight – Daily monitoring of the complex indices & resolving calculation issues (data problems, calendar errors, common code errors etc.)

Overseeing Index rebalance processes for client directed strategies.

Making modifications in existing live indices e.g. new cost structures, universe changes, minor methodology adjustments

Index Description drafting for minor adjustments, Repeat Index Launch Form completion.

Qualification:

• Degree with a quantitative discipline (BE, BTech, MS in Maths/Statistics/Financial Engineering) from Tier 1 or 2 institutes

• 1-3 year of prior exposure to Index/Quants Research and equities/multi asset indices analytics is important.

• Computer Skills: strong programming skills such as Python (mandatory), R and Java.

• Must be able to flexibly respond to changes in priorities, be able to communicate results to a less-technical audience, work well in a team and be comfortable in a front office environment.

• Strong attention to detail.

• Excellent written and verbal communication skills/Ability to express ideas via writing. Prior track record in writing marketing material/trade ideas for wider distribution will be advantageous.

• Proactiveness / Initiative taking & Teamwork.

For more details to apply, Click here!

Equity Analyst, Research – Applied Equity Advisors – Analyst/Associate – United States

Job Responsibilities:

Equity Analyst (60% of time)

Business Management (20% of time)

Trading Support (20% of time)

· Bachelors degree required, with business, finance, quantitative, or economics concentration desired

· 3 to 5 years of related employment experience

· Related financial market experience.

· Analytical aptitude

· Desire to work in a close collaborative environment

· Proficiency in Microsoft Office suite of applications, especially Excel/VBA.

For more details to apply, Click here!

IED – Electronic Trading Risk Management- Associate – United States

Job Description:

• Implementation and ownership of electronic trading risk controls, designed to enable business development in a risk-controlled manner

• Monitoring electronic trading activity and controls in real-time and taking action, when necessary, to address issues

• Performing analysis on large complex datasets and system logs to diagnose issues and develop fact-based recommendations and solutions to problems and inquiries

• Owning and enhancing a variety of critical operational processes focused on managing operational and regulatory reporting risks

• Facilitating and coordinating meetings and workshops with stakeholders at all levels of the organization

• Providing electronic trading subject matter expertise and risk oversight as it relates

Qualification:

• Bachelor’s degree with strong academic performance

• Preferred Major or Minor in Computer Science or Information Systems or similar technical field

• 1-4 years of relevant professional experience in Financial Services or Technology or related industry, preferably with some exposure to or a passion for trading and markets

• A desire to work in a fast-paced, dynamic, and unpredictable environment with a willingness to solve problems in real-time using a hands-on approach

• Strong motivation, be a self-starter with a positive outlook and a desire to solve problems

• Strong communication skills with a demonstrated ability to communicate effectively verbally and in writing at all levels of the organization

For more details to apply, Click here!

Investment Management – Portfolio Solutions Group – Analyst – United Kingdom

Job Description:

· As a member of PSG’s Investment Selection team, you will be contributing to the sourcing, diligence, and monitoring of investment opportunities

· Investment activity includes public and private markets, direct and fund implementation, internal and third-party strategy allocations

· You will have the opportunity to support the continuous effort of the wider team to maintain medium term investment views across public and private markets

· The role includes contributing to client review activity and new business development, including coordinating with the global distribution team on all PSG business activities

· Finally, the position also involves supporting the production of thematic investment content for existing and prospective clients

Qualification:

· Degree educated or equivalent (post graduate qualifications are positive)

· Progress towards CFA / CAIA is advantageous

· Previous multi-manager experience in a multi-asset portfolio context

· Strong communication skills, both written and oral

For more details to apply, Click here!