Morgan Stanley is Hiring for Freshers | Any Graduates | Associate | Operations | 0 - 3 yrs

Morgan Stanley is Hiring for Freshers | Any Graduates | Associate | Operations | 0 – 3 yrs

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

We believe attitude is just as important as aptitude. We want to work with and develop students and graduates who show integrity and commitment to our core values, who share our commitment to providing first-class service to clients and who are open to innovation.

Are you looking for an opportunity to do meaningful, intellectually stimulating work in the field of finance?

Morgan Stanley Careers Opportunities for Entry Level role

Associate Supervision ISG Management – India

Job Responsibilities:

Reviewing internal policy breaches on a daily basis, investigate, educate and escalate as necessary
Trend and identify repeat behaviours and establish a process to address recurrence
Reviewing electronic communications and escalating where these are not in line with internal policies
Create management reports to highlight issues, trends, new regulatory changes etc.
Support BU projects to create, enhance or develop procedures/protocols.
Engaging with other regional RCG teams to focus on and deliver increased automation and standardization across applicable surveillance processes
Engaging with ISG contacts and other stakeholders to build awareness of Non- Financial Risk and RCG’s continued focus on proactive and effective surveillance and supervision
Drive discussion with relevant Risk and Compliance contacts to validate the existing review process and alert disposition logic
Help ensure that ISG activities comply with relevant legal, regulatory and Firm requirements
Partner with stakeholders to design and implement new reports to assist with the Firm keeping pace with the evolving Regulatory environment
Partner in projects related to improving the review process, reduce false positives or further enhance the report logic

Qualification:

Graduate/ Post Graduate in Commerce, Finance etc.
1-3 years with knowledge/ background in Compliance, Risk Management, Trade surveillance or Trading Support focusing on sales and trading issues
Ability to work independently
Exceptional organizational skills and high degree of attention to detail
Knowledge of Equities markets, understanding of applicable regulatory rules and regulations
Excellent oral and written communication skills
An understanding of and strong focus on the mechanics of a control environment, including escalation and risk-related issues
Proficiency in MS Office and related applications (Word, Excel, PowerPoint)

For more details to apply, Click here!

Associate/ Senior Associate – Asia Structured Credit Trading Role – India

We will be looking for talented individuals who can combine ability to grasp complex concepts, strong communication, problem solving and analytical skills with numeracy and attention to detail. Candidates need to be able to work well with people of varying backgrounds, and be able to both collaborate with, and contribute to the team. Candidates will need to be proactive people who can think on their feet, who will work diligently and stay focused on completing the task and who are resourceful and enthusiastic.

Job Requirement:

 

· We are looking for a confident and organized person, who has exceptional attention to detail and is proactive in taking initiative. Successful candidates will have a proven work experience working with complex concepts.

· Ability to understand financial products including bonds and derivatives

· Require relevant experience in at least one of the following areas: credit linked notes, repack notes, exotic derivatives/xva/derivatives valuations and modelling/transactions entries for structured products or complex derivatives/PnL attributions and analysis for complex derivatives

· Attention to details is crucial

· Strong analytical and problem-solving skills

· Ability to work effectively in a team

· Prior exposure to investment banks’ booking and risk reporting infrastructure is preferred

Interpersonal Skills

· Strong communication skills – written and verbal

· Initiative/Ability to be pro-active

· Problem solving/Solution oriented

· Dedication/Resilience

· Teamwork

· Ability to prioritize multiple tasks

· Ability to follow through projects towards completion, with regular updates

· Flexible approach to workload and demands of role

Qualification:

· University graduate with 0-3 years of Financial / Industry experience, including previous exposure to credit markets / analysis

· Strong academic record, quantitative skills and an interest in and understanding of financial markets

· Exposure to quantitative finance (BFE, MFE, Financial Math, CQF) would be preferred

For more details to apply, Click here!

Associate Market Risk Institutional Equity Division – India

Job Responsibilities

Risk Analysis using Stress Testing, VaR, Backtesting and other measures.
Uploading and Analyzing sample prospective portfolios, comprising of several financial product types in Equities, Convertible Bonds, Corporate Bonds, Swaps (IRS/CDS), Options and Futures on Commodities/Index/Interest Rates/Currencies.
This may involve searching for relevant tickers/identifiers for such products, using Bloomberg and other internal sources/databases.
Analysing live client portfolios, highlighting risk issues/concerns, and recommending margin policy changes.
Conducting Risk analysis for the various funds analysing factors like Liquidity, Concentration, etc.
Senior Management Risk Reporting and Trend Analysis for the various businesses.
Risk analysis based on Strategy or Country, or Sector or other market-based events as needed.
Ability to analyse large data sets.
Streamlining/Automation/Tool Building for Internal Risk Management.
Liaising with the relevant regional stakeholders (Risk, Margin, Credit, IT, etc.) in terms of periodic risk deliverables.
Participate in global risk projects out of Mumbai in terms of requirements gathering, developing, testing and validation.

Qualification:

Graduate degree in Mathematics or Engineering with strong analytical skills.
1-2 years of experience in the Finance industry.
FRM / CFA (at least Level 1 completed).
In-depth understanding of Financial Products (Equities, Options, Futures, Bonds, Commodities, Rates, Credit) and good understanding of risk in such products.
Working Knowledge in any of (VBA /Python/R) programming languages or ability to analyze large data sets using SQL/Excel/Power BI tools.
Strong Analytical skills and hands-on approach to problem solving.
Excellent communication skills.
Exceptional organizational skills and high degree of attention to detail.
Ability to work independently and efficiently in a complex, fast-paced environment.
Enthusiasm to volunteer for planning, organizing, and participating in events held by the department and the Firm.

For more details to apply, Click here!