Job Description

VOYA INDIA Overview

VOYA INDIA, formerly known as VFI SLK, is a technology-driven, business process transformation company, driving the evolution of the financial services customer experience through the art of technology, innovation, and human creativity. As a subsidiary of Voya Financial Inc, we are dedicated to delivering cutting-edge solutions to Voya’s Health (employee benefits), Wealth (Retirement) and Investment Management Business. Our focus lies in crafting inventive customer-centric solutions by digitizing, automating, and optimizing technology and business processes. We are committed to fostering an environment that celebrates learning, growth and inclusivity while developing and deploying innovative and impactful solutions for Voya Financial Inc.

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Profile Description

The Investment Commentary Associate is responsible for creating and editing insightful, timely, and accurate written content that explains market trends, portfolio performance, and investment strategies to clients, advisors, and internal stakeholders. This role requires strong analytical skills, excellent writing ability, and a deep understanding of financial markets and performance attribution.

Roles and Responsibilities

  • Content Development & Editing:
  • Draft and edit market commentaries, portfolio updates, and investment outlooks for various asset classes and strategies.
  • Review and refine commentaries written by Client Portfolio Managers (CPMs) and Portfolio Managers (PMs) to ensure clarity, consistency, and accuracy.
  • Performance Analysis & Validation:
  • Understand portfolio attribution and performance drivers; validate data and ensure accurate representation in commentary.
  • Collaborate with investment teams to confirm key insights and performance narratives.
  • Compliance & Approval Process:
  • Coordinate with compliance teams to obtain necessary approvals for all published content.
  • Ensure adherence to regulatory and firm-specific guidelines.
  • Technology & Tools:
  • Utilize content management platforms such as Seismic for publishing and distribution; familiarity with Seismic is a plus.
  • Collaboration:
  • Work closely with portfolio managers, CPMs, marketing, and compliance teams to deliver high-quality, timely content.

Knowledge and Experience

  • Background in Finance. CFA/MS/MBA Finance with 2-3 years of experience
  • Minimum 2 years of experience in investment writing, financial analysis, or related roles.
  • Strong understanding of capital markets, attribution analysis, and investment products.
  • Proficiency in Seismic is a plus.
  • Attention to detail and commitment to maintaining high-quality standards.
  • Ability to work under tight deadlines and manage multiple projects.
  • Analytical mindset with ability to interpret market and performance data.
  • Collaborative team player with strong organizational skills.
  • Exceptional written and verbal communication skills.

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