Full Time4-10 yearsCredit Risk
Posted 25 April 2026
Job description
Role Overview:
You will be working as a Senior Manager in the Credit Analyst role within the Fixed Income Division at Morgan Stanley in Mumbai.
Your main responsibilities will include credit research, financial analysis, industry databases maintenance, report writing, and participating in investment recommendation decisions.
Key Responsibilities:
- Track issuers, instruments, and sectors to make buy, sell, or hold decisions
• Analyze market information and behavior closely
• Manage rating migration effectively
• Close credit discussions and documentation with involved parties
• Adhere to secrecy, ethical code, and compliance parameters
Qualification Required:
- Strong academic record with quantitative skills and understanding of financial markets
• CA with 4-10 years of experience in finance/industry, exposure to credit markets/analysis
• MBA with CA preferred, progress towards CFA (AIMR, USA) is a plus
• Ability to analyze financial statements, strong analytical and problem-solving skills
• Excellent written and verbal communication skills
• Strong interpersonal skills, ability to work in a team, and attention to detail
• Familiarity with credit research process/language and credit derivatives
Additional Details:
As a Senior Manager in the Credit Analyst role at Morgan Stanley, you are expected to possess strong communication, written, problem-solving, and analytical skills.
You should have numeracy, attention to detail, and a questioning outlook.
It is essential to work well within small specialist teams, collaborate with team members, and be resourceful and enthusiastic in completing tasks diligently.
Role Overview:
You will be working as a Senior Manager in the Credit Analyst role within the Fixed Income Division at Morgan Stanley in Mumbai.
Your main responsibilities will include credit research, financial analysis, industry databases maintenance, report writing, and participating in investment recommendation decisions.
Key Responsibilities:
- Track issuers, instruments, and sectors to make buy, sell, or hold decisions
• Analyze market information and behavior closely
• Manage rating migration effectively
• Close credit discussions and documentation with involved parties
• Adhere to secrecy, ethical code, and compliance parameters
Qualification Required:
- Strong academic record with quantitative skills and understanding of financial markets
• CA with 4-10 years of experience in finance/industry, exposure to credit markets/analysis
• MBA with CA preferred, progress towards CFA (AIMR, USA) is a plus
• Ability to analyze financial statements, strong analytical and problem-solving skills
• Excellent written and verbal communication skills
• Strong interpersonal skills, ability to work in a team, and attention to detail
• Familiarity with credit research process/language and credit derivatives
Additional Details:
As a Senior Manager in the Credit Analyst role at Morgan Stanley, you are expected to possess strong communication, written, problem-solving, and analytical skills.
You should have numeracy, attention to detail, and a questioning outlook.
It is essential to work well within small specialist teams, collaborate with team members, and be resourceful and enthusiastic in completing tasks diligently.