P&L Reporting Analyst / Senior Analyst – Financial Operations

Spectral Consultants

Hyderabad

On-site

INR 600,000 - 900,000

Full time

14 days+
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Job summary

Spectral Consultants in Hyderabad invites Analysts to join Financial Operations as Analyst/Senior Analyst – P&L Reporting. You will work on P&L and NAV calculations, daily P&L movements, and profitability analysis for investment products, collaborating with product control teams.

Candidates from IB or asset management with CA/MBA and CFA/FRM levels are preferred; 1–3 years of experience required; 2024/2025 batch.

Qualifications

  • 1–3 years of relevant experience in P&L reporting, P&L driver analysis, product control, NAV, or FP&A focused on P&L.
  • Hands-on experience in P&L and NAV calculation and validation.
  • Strong understanding of day-to-day P&L movements, variance analysis, and RCA.
  • Experience in fund profitability or financial reporting.
  • Candidates from Investment Banking Product Control, Financial Operations, Hedge Funds, Asset Management or Boutique Financial Services preferred.
  • Strong analytical and communication skills required.
  • Exposure to SQL, Python or BI/Analytics tools is an advantage.
  • CA / MBA – preferably Tier 1 institute, 2024 or 2025 batch.
  • Candidates with undergraduate degree + relevant experience should have CFA Level 2 or FRM.
  • 2023 or earlier MBA/CA batches will not be considered.

Responsibilities

  • P&L reporting and NAV validation for funds.
  • Analyze day-to-day P&L movements and perform variance analysis.
  • Prepare financial reporting and profitability analyses.
  • Collaborate with IB Product Control, Ops, and other teams as needed.

Skills

P&L reporting
NAV calculation
Variance analysis
Communication skills
Analytical skills
SQL
Python
BI tools

Education

CA
MBA
CFA Level 2
FRM

Tools

SQL
Python
BI tools

Job description

Spectral Consultants is hiring for Analyst / Senior Analyst – P&L Reporting – Financial Operations with a leading global investment and financial services firm.

  • 1–3 years of relevant experience in P&L Reporting / P&L Driver Analysis / Product Control / NAV / FP&A focused on P&L
  • Hands‑on experience in P&L and NAV calculation & validation
  • Strong understanding of day‑over‑day P&L movements, variance analysis & RCA
  • Experience in fund profitability / financial reporting
  • Candidates from Investment Banking Product Control, Financial Operations, Hedge Funds, Asset Management or Boutique Financial Services are preferred
  • Strong analytical and communication skills are mandatory
  • Exposure to SQL, Python or BI/Analytics tools is an advantage
  • CA / MBA – preferably Tier 1 institute, 2024 or 2025 batch
  • Candidates with an undergraduate degree + relevant experience should have CFA Level 2 or FRM
  • 2023 or earlier MBA/CA batches will not be considered

Important: Candidates with generic FP&A experience focused primarily on budgeting, forecasting or expense analysis may not be suitable. Strong P&L reporting experience and communication skills are key.

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