Job Description
Evalueserve is a global leader in delivering innovative and sustainable solutions to a diverse range of clients, including over 30% of Fortune 500 companies. With a presence in more than 45 countries across five continents, we excel in leveraging state-of-the-art technology, artificial intelligence, and unparalleled subject matter expertise to elevate our clients' business impact and strategic decision-making. Our team of over 4,500 talented professionals operates in countries such as India, China, Chile, Romania, the US, and Canada. Our global network also extends to emerging markets like Colombia, the Middle East, and the rest of Asia-Pacific. Recognized by Great Place to Work® in India, Chile, Romania, the US, and the UK in 2026, we offer a dynamic, growth-oriented, and meritocracy-based culture that prioritizes continuous learning and skill development, work-life balance, and equal opportunity for all.
Curious to know what it’s like to work at Evalueserve?
About Investment Research
As a global leader in knowledge processes, research, and analytics, you’ll be working with a team that specializes in global market research, working with the top-rated investment research organizations, bulge bracket investment banks, and leading asset managers. We cater to 8 of the top 10 global banks, working alongside their product and sector teams, supporting them on deal origination, execution, valuation, and transaction advisory-related projects.
What you will be doing at Evalueserve
Serving as part of the supplier risk review team for a global investment bank (the supplier risk review team is part of the financial risk group of the client, which is responsible for assessing the risk of strategic and critical vendors and covering key aspects of financial viability)
Ensuring completeness of the data collection process
Reaching out to multiple vendors for information
Checking financial information received for completeness; supplementing it with data extracted from public sources and premium databases; and ensuring consistency
Reviewing financial statements for revenue performance, growth stage, ownership, and liquidity of companies
Calculating financial ratios, including liquidity, leverage, and equity
Analyzing risk and flagging high-risk suppliers
Drafting risk assessment reports and insight generations by conducting analysis and using the client’s database and templates
Handling ad hoc queries
What we’re looking for:
1 to 3 years of experience as a financial analyst, preferably in the supplier risk domain
MBA (Finance) / chartered accountant / chartered financial analyst
Good understanding of financial statements; data collection and analysis; and financial analysis
Knowledge of accounting, including US GAAP, financial statement analysis, and ratio analysis
Ability to articulate ideas and develop recommendations
Ability to be part of bigger teams working toward a common goal
Strong oral and written communication skills, including the ability to document analytical results in a manner suited to audiences of different technical levels
Strong analytical and interpersonal skills
💡 Quick Summary
Seeking a career-building opportunity? The Supplier Risk - Financial Analyst position is now open for candidates interested in the Bank Jobs sector. This role in Mumbai offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Bank Jobs is a plus.
