Live opening · Posted 11 days ago

Investment Analyst

GMR Group · Delhi, India (On-site)
Linkedin No
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At a glance

The key details from the original listing.

Posted 11 days ago
CompanyGMR Group
LocationDelhi, India (On-site)
Work modeNo
SourceLinkedin
Listed11 days ago

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About the role

Description supplied by the original job listing.

Company Description GMR Group is a leading Indian infrastructure conglomerate with businesses spanning airports, energy, transportation, urban infrastructure, and sports. Through its airport arm, GMR Airports Limited, the Group operates under the “GMR AERO” brand, managing major airports in Delhi, Hyderabad, Goa, and Medan, and developing new projects in Bhogapuram and Crete. The Group partners with global player Groupe ADP, expanding its international reach and expertise in world-class, sustainable airport operations and aviation services. Beyond airports, GMR Power and Urban Infra Limited drives initiatives in clean energy, smart metering, EV infrastructure, and transport, while GMR Sports manages well-known teams such as Delhi Capitals and UP Yoddhas. GMR Varalakshmi Foundation supports inclusive growth through education, skill development, and healthcare across the communities where GMR operates.
Role Description The Investment Analyst role is a full-time, on-site position based in Delhi, India. The Investment Analyst will support investment decision-making by conducting financial and business analysis across GMR Group’s family office and AIF portfolios. Day-to-day responsibilities include building and maintaining financial models, evaluating investment opportunities, analyzing market and industry data, and preparing investment memos, presentations.
Qualifications
Strong foundation in Finance and Investments, with the ability to evaluate companies along listed and unlisted universe / PMS / AIF / Private equity / series A and seed investments
Advanced Analytical Skills and proficiency in Financial Modeling to assess valuations, returns, and scenario analyses.
Experience or familiarity with Portfolio Management concepts, including performance tracking and risk assessment.
Bachelor’s or master’s degree in Finance, Economics, Busines.
Proficiency in Excel and financial analysis tools; experience with data visualization or BI tools is an advantage.l
Strong written and verbal communication skills, with the ability to present complex analyses clearly to stakeholders.
Ability to work collaboratively with cross-functional teams and manage multiple priorities in a fast-paced environment.

Work arrangement
No

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