Analyst (R-18869)

Dun & Bradstreet

Mumbai

On-site

INR 800,000 - 1,200,000

Full time

14 days+

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Job summary

A global business data leader in Mumbai is seeking a Financial Analyst to join its team. This role involves financial analysis, preparing risk score models, and evaluating compliance frameworks. The ideal candidate will have an MBA in Finance and significant experience in risk management and stakeholder collaboration. Join a diverse team and help shape the future of business decisioning data with innovative insights and strategies.

Qualifications

  • Strong understanding of management, operational, financial, and compliance risk frameworks.
  • Proficient in ratio analysis, liquidity evaluation, and cash flow assessment.
  • Ability to interpret statutory filings, regulatory disclosures, and litigation records.

Responsibilities

  • Preparation of report and assigning risk score by analyzing a given entity.
  • Undertake detailed financial analysis covering P&L, Balance Sheet, Cash Flow statements.
  • Co-ordinate between internal and external stakeholders to manage client accounts.

Skills

Financial analysis
Risk management
Stakeholder management
Data analysis

Education

MBA in Finance
CFA Level I/II or CMA certification

Job description

At Dun & Bradstreet, we believe data has the power to create a better tomorrow. As a global leader in business decisioning data and analytics, we help companies worldwide grow, manage risk, and innovate. For over 180 years, businesses have trusted us to turn uncertainty into opportunity. We’re a diverse, global team that values creativity, collaboration, and bold ideas. Are you ready to make an impact and help shape what’s next? Join us! Explore opportunities at dnb.com/careers.

Key Responsibilities:
  • Preparation of report and assigning risk score by analyzing a given entity through annual reports, documents, site visit & management discussion
  • Undertake detailed financial analysis of the entity covering P&L, Balance Sheet, Cash Flow statements and industry benchmarking
  • Evaluate managerial and operational capabilities of channel partners
  • Evaluate statutory, regulatory and AML compliances of channel partners
  • Carry out sectoral analysis and industry benchmarking
  • Carrying out Portfolio Analysis for clients
  • Prepare risk score model for the client
  • Co‑ordinate between internal and external stakeholders to manage the client accounts
Key Requirements:
  • MBA in Finance; CFA Level I/II or CMA certification is an added advantage
  • Strong understanding of management, operational, financial, and compliance risk frameworks
  • Proficient in ratio analysis, liquidity evaluation, and cash flow assessment
  • Ability to interpret statutory filings, regulatory disclosures, and litigation records
  • Skilled in developing risk‑scoring models and implementing due‑diligence methodologies
  • Effective stakeholder management and collaboration capabilities
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