Hedge Fund Risk & Investment Analytics Analyst

Mumbai, IndiaFull-timePosted Aug 6, 2026

You are a strategic thinker passionate about driving solutions in “Hedge Fund Risk & Investment Analytics”. You have found the right team.

As “Hedge Fund Risk & Investment Analytics Professional ” within our dynamic team, you will be responsible for setting and improving our organizational objectives, and ensuring their consistent accomplishment.

Job Responsibilities

  • Partner with Risk and Data Analytics & Technology teams to manage data-driven projects and process enhancements.
  • Develop repeatable workflows (intake → validation → remediation → publish) with clear documentation and ownership.
  • Validate portfolio analytics dashboards to ensure accuracy, usability, and scalability of investment datasets.
  • Investigate anomalies to determine root cause (data, logic, calculation, mapping) and implement fixes.
  • Create quality checks and exception reporting to reduce recurring breaks and improve confidence in outputs.
  • Support hedge fund due diligence by validating, curating, and maintaining manager data quality (completeness, consistency, timeliness).
  • Produce analytics and data views that help stakeholders assess managers and identify trends/outliers.
  • Implement monitoring for completeness, outliers, breaks, and stale fields with thresholds, escalation paths, and audit-ready evidence.
  • Document remediation actions with clear ownership, controls, and repeatability.
  • Review statistical packages/tooling and recommend improvements for maintainability and fitness for purpose.
  • Identify high-value AI/LLM opportunities to accelerate analytics and data workflows (capture, flags, highlights, automation, query assistance).

Required qualifications, capabilities and skills

  • At least 1 year of experience working with large datasets using SQL and Python.
  • Experience developing or improving data management processes (controls, monitoring, documentation, repeatability).
  • Experience at an investment firm.
  • Bachelor’s or Master’s degree in a quantitative/analytical field (Finance, Economics, Statistics, Data Science, Computer Science, Engineering) or equivalent practical experience.
  • Strong communication skills to translate data issues and technical choices into clear stakeholder updates.
  • Detail-oriented approach to detect inconsistencies and drive issues through to resolution.
  • Analytical skills to form hypotheses, test quickly, and validate outputs.

Preferred qualifications, capabilities and skills

  • Experience with Tableau.
  • Experience with Streamlit.
  • Familiarity with RiskMetrics (or equivalent risk/analytics tooling).
  • Prior exposure to hedge fund manager/ due diligence analytics and datasets.
  • Experience applying or prototyping AI/LLM solutions for analytics and workflow acceleration.
  • Experience evaluating and improving statistical tooling for process fit and maintainability.

Want jobs like this matched to you?

SimpleCareer scores fresh postings against your résumé so you only see the matches that matter.

Get started free