Overview
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm’s employees serve clients worldwide including corporations, governments and individuals from more than 42 countries.
Morgan Stanley Careers Opportunities for Graduates Fresher, Entry Level, Mid Level role in various domain such as Technology, Engineering, Digital, Finance, Operation, Sales, Marketing, Business, supply chain and many more
Are you looking for an opportunity to do meaningful, intellectually stimulating work in the field of finance?
Careers Opportunities for Graduates Entry Level 2024
Securitized Products Analyst – Europe
Job Description:
• Analyze client portfolios consisting of leveraged loans and HY bonds
• Provide oversight of ongoing client requests for fundings
• Work with other internal teams to build-out transaction & collateral monitoring systems
• Work closely with the securitized products structuring team on new issue securitization transactions
• Conduct market and asset level research
Qualification:
• BSc or MSc in finance or a quantitative field (e.g. finance, economics and engineering)
• 0-2 years of experience. Preferably a background with a financial institution, rating agency or accounting firm
• Excellent data management skills: MS Excel, pivot tables, database management (Access or SQL experience is a plus)
• Strong work ethic, attention to detail, analytical mindset
• Proficient verbal and written communication skills in English
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Analyst – India
Review and sign off communication related to employee activities;
Conduct investigations on irregularities and abnormal activities and document findings;
Participate in defining and documenting the operating processes for processing Monitoring reports;
Help the senior manager in making the team and processes more efficient;
Create Management Information Reports on a periodic basis;
Escalate unresolved issues or potential violations of the Morgan Stanley’s policies or external rules and regulations to his/her manager, Coverage Compliance and Senior Management of Business Units.
Interaction with IT
Work with IT and / or vendors in enhancing/ developing new tools
Participate in testing/ requirement drafting of new models/reports Requirements
Experience
0-2 years of relevant working experience in the financial services industry in Compliance or internal audit or with a securities exchange or securities regulator;
Preference will be given to candidates with relevant experience in Electronic Communications Surveillance
Knowledge
Possess excellent knowledge of financial instruments and markets.
Basic understanding and knowledge of trading mechanisms across different financial instruments/ markets.
Should possess knowledge of trade booking and settlements
Industry qualifications i.e. Post Graduate / MBA in Finance
Knowledge of global markets / market regulations
Desirable up to 12 months experience in a similar profile/industry.
Understanding the implications of risk involved.
Excellent verbal and written English communication skills – ability to effectively correspond with
various groups and senior professionals over email and the telephone
Strong Analytical Skills and attention to detail
Experience interpreting laws or regulations
Knowledge of trade booking and settlements
Must be able to maintain a high level of organization under pressure
For more details to apply, Click here!
Associate – Macro Research Strats (Research) – India
Job Responsibilities
· Acquire, clean, maintain, and analyze economic data sets to identify trends and patterns
· Assist in the development and implementation of economic models and forecasting techniques to assess economic conditions and predict future trends
· Prepare reports, presentations, and briefings on economic findings, highlighting key insights and recommendations for internal stakeholders
· Collaborate with senior economists and other team members to conduct economic impact assessments and policy evaluations
· Stay updated on relevant economic theories, methodologies, and best practices to enhance economic analysis techniques
Qualifications:
· Master’s degree or higher in a quantitative field such as Economics, Financial Mathematics, Statistics, Data Science, Engineering, or Physics
· Fresh graduate or 1-4 years of experience in relevant roles
· Strong analytical skills with the ability to interpret complex economic data and draw meaningful conclusions
· Proficiency in statistical analysis and econometric modeling techniques
· Proficiency in data analysis software such as Excel, R, and Python
· Excellent verbal, written, and interpersonal communication skills
· A genuine interest in economics and financial markets
· Ability to work independently and as part of a team, managing multiple projects and deadlines simultaneously
· Candidates should be analytical, insightful, quick learners, team players, multi-taskers, with a positive attitude
For more details to apply, Click here!
Equity Research Rotational Program Analyst/Associate – United States
Job Responsibilities:
• Creation and maintenance of Salesforce education decks, including company overviews, investment positives and concerns, competitive landscape, financial metrics, and valuation leveraging skills in accounting, finance and economics.
• Write research reports for initiations of coverage, analysis of data, earnings results, and industry news.
• Interact with institutional investors, respond to requests for models and data analysis.
• Keep abreast of industry-related news flow. Analyze implications of news/industry developments to companies under coverage.
• Develop and maintain relationships with investor relations personnel and management of companies under coverage.
• Conduct industry diligence and primary research through surveys, expert conference calls, and various channel checks to evaluate industry trends.
• Assist internal sales and trading teams in the timely analysis of breaking news.
Qualification:
• The candidate will have 1-3 years of professional experience in Equity Capital Markets and/or Investment Banking
• Experience utilizing Excel to Build / Maintain Financial models, a strong level of excel proficiency is expected and required
• Experience writing in a professional capacity, e.g. correspondence, presentation and/or development of industry reports
• Strong PowerPoint skills are required
• Expected to be adaptable and have the ability to work well under pressure
• Strong attention to detail is a must
• CFA and/or CPA is a plus