Portfolio Management Jobs in India
Buy-side asset allocation, fund management, and research-to-PM career track. · 646 active positions
Last updated
About Portfolio Management careers in India
Portfolio Management in India is dominated by Mumbai-based mutual funds (HDFC AMC, SBI MF, Kotak AMC), PMS providers (Motilal Oswal, Marcellus, ASK), and AIFs. Most PMs come from 3–7 years of equity research, credit analysis, or fixed income before making the buy-side transition. CFA is the dominant certification; compensation scales sharply with AUM managed — top PMs can earn ₹1 Cr+ plus performance-linked variable.
Active Jobs
646
Salary Range
₹15–40 LPA
Typical mid-level
Top City
Bangalore
103 openings
Top Employer
Goldman Sachs
Top Portfolio Management employers in India
Browse Portfolio Management jobs by city
Latest Portfolio Management jobs in India
View all 646ServiceNow Consultant (SAMPro / ITAM)
Impactron GlobalBangalore, Karnataka
Finance Transformation GCC Lead Associate Director
Cigna Medical GroupHyderabad, Telangana
Product Support Analyst
S&P Global Market IntelligenceGurgaon, Haryana
Product Support Analyst
S&P Global Market IntelligenceNoida, Ghaziabad
Learning Content Developer
S&P Global Market IntelligenceGurgaon, Haryana
CIB Portfolio Manager(Vice President)
Wells FargoHyderabad, Telangana · 10+ yrs
Senior Lead Engineer - Development (Oracle, PL/SQL)
FISHyderabad, Telangana
Big Data Developer (Python, Spark, Hive, Impala)
FISChennai, Tamil Nadu
Specialist IT - Enterprise Software Asset Management
Eaton Technologies Private LimitedPune, Maharashtra
Asset Management Planning & Analysis - Associate
JPMorgan Chase FundingIndia
Senior Consultant Software Asset Management - Purchasing / Procurement - India
Societe GeneraleIndia
Asset Management - Client Onboarding KYC - Associate
JPMorgan Chase & Co.India · 10+ yrs
AVP - Real Assets Investments
Merak CapitalMumbai, Maharashtra, India · 8+ yrs
Qualifications & skills for Portfolio Management in India
- ✓3–7 years in equity research, credit, or fixed-income analysis
- ✓Strong sector coverage track record
- ✓CFA (strongly preferred)
- ✓Financial modeling + valuation depth
- ✓Ability to size positions and manage risk
Typical entry: 3–7 years prior research/analyst experience