Moody’s Hiring Freshers As Financial Analyst In Gurgaon

948

Moody’s Hiring Freshers As Financial Analyst | 0-2 Years | Gurgaon

Moody’s Corporation hiring freshers for the recruitment of Financial Analyst in Gurgaon. Candidates having a degree in finance, economics, accounting, math, or related quantitative field preferred are eligible for this role. For more details for eligibility criteria, selection process, apply link read below.

Company Name: Moody’s Corporation

Job Location: Gurgaon

Position: Financial Analyst

Salary: Best In Market

Last date to apply: ASAP

** Upcoming Off Campus Jobs Across India (Must Apply):
Company Last Date Location Apply Link
Hexaware ASAP Across India Click Here
NPCI ASAP Across India Click Here
Zensar ASAP Across India Click Here
Wipro ASAP Across India Click Here
Zoho ASAP Across India Click Here

Eligibility Criteria :

  • Undergraduate/first-level degree (e.g., Bachelor’s) or graduate/second-level degree (e.g. MBA, Master’s) with an emphasis in finance, economics, accounting, math, or related quantitative field preferred.
  • CA, CFA, FRM or equivalent highly desirable.
  • 0-2 years of relevant work experience
  • Excellent financial modelling skills.
  • Excellent oral and written communication skills.
  • Ability to work effectively under tight deadlines, flexibility during earnings season.
  • Knowledge of full breadth of public data, research, and analytic resources; work experience with data platforms such as Bloomberg and Capital IQ will be an added advantage.
  • Team players who must show the willingness to work with cross functional teams across many time zones.

Job Role:

  • Detailed capital structure analysis:  Identify all levels of debt tranches, corporate and funding structure, and mapping guarantees and collateral.
  • Waterfall analysis to determine priority of debt structure and debt recovery scenarios at all debt levels.
  • Calculation of adjusted debt and analysis of off balance sheet debt items.
  • Evaluate bond indentures and loan agreements to assess the covenant protection, debtholder’s mutual rights and priorities, and any specific clauses/provisions which could impact the risk/return profile of the trade or investment.
  • Track and report news, events, and macro market developments on coverage names, or as required.
  • Understand and summarize target company’s business model and strategy, industry scenario, and key risks to enable development of broad understanding under tight deadlines.
  • Prepare detailed reports and presentations on companies describing business model, strategy, industry scenario, capital structure, covenants and key risks associated with the investments.
  • Develop an insightful opinion on the company’s projected financial performance through building cash flows models.

How To Apply :

Interested and eligible candidates can directly apply using the below-mentioned link.

Apply Link: Click Here To Apply

LEAVE A REPLY

Please enter your comment!
Please enter your name here

This site uses Akismet to reduce spam. Learn how your comment data is processed.