REDI APAC Real Estate Summer Analyst
As a Real Estate Summer Analyst Intern at Hines, you will gain hands-on experience in commercial real estate investment management and/or development. Responsibilities include assisting with underwriting, lease analysis, market research, due diligence, and financial analysis for new projects, acquisitions, and asset management of operating properties.
Financial Analyst - Real Estate Valuation and Advisory Services
The Financial Analyst will join the Real Estate Valuation and Advisory Services team in Mumbai, focusing on reviewing and analyzing complex real estate models, conducting market and financial research, and executing valuation advisory work. This role involves working with leading REITs, private equity firms, and real estate operators to analyze and value their investments for various purposes.
Associate Financial Analyst, Daily Valuation
The Associate Financial Analyst performs daily trading functions, including trade reconciliation, dividend processing, and identifying and resolving complex breaks in manual reconciliation. This role involves ensuring timely daily reporting, monitoring aging items, and supporting other trading associates within the Future Plan Daily Recordkeeping Trade Team.
Operations Team Member - Trade Finance Operations
The Operations Team Member will handle day-to-day trade transactions, coordinate with internal and external stakeholders, and ensure timely and error-free execution of trade-related services within the Wholesale Banking Group's Trade Finance Operations team.
Executive - Finance
This role involves comprehensive financial operations, including vendor and customer reconciliation, managing internal and statutory audits, and assisting in the finalization of the balance sheet. Key responsibilities also include ensuring timely tax and statutory filings, processing payments, and managing payroll entries in SAP.
Analyst Transactions & Processing
The Analyst Transactions & Processing ensures compliance with regulatory requirements and company policies during the documentation process. This role involves accurately uploading borrower financial documents, maintaining organized digital filing systems, and verifying document completeness and quality.
Internship – Accounts Receivable (AR)/ Medical Billing - AR, Medical Billing
This internship involves assisting with day-to-day operational activities, supporting departmental projects, and learning industry best practices within Accounts Receivable and Medical Billing. Interns will gain real-world experience by working on live projects, preparing reports, and collaborating with cross-functional teams.
Associate II - Finance
Provide essential accounting and financial support to clients by managing tasks such as accounts payable, accounts receivable, and general ledger entries. This role is ideal for recent graduates, emphasizing accuracy, attention to detail, and a focus on quality to support efficient financial operations within a shared services environment.
Specialist - Financial Service Operations
As a Financial Services Operations Representative, you will provide transaction-processing services for a Mutual Fund client, focusing on efficiency and accuracy. This role involves daily account activities, processing financial service requests, and interacting with account holders to research and resolve complex issues.
Internship – Accounts Receivable (AR)
This internship at Harmony United Medsolutions Pvt. Ltd. focuses on Accounts Receivable (AR) within the healthcare Revenue Cycle Management sector. Interns will assist with daily operations, support projects, and apply industry best practices, gaining practical experience under professional guidance.
MF Research Analyst Intern
The MF Research Analyst Intern will be responsible for critically evaluating algorithmic fund ratings, conducting ongoing fund and category research, and monitoring top fund picks. This role involves working directly with the founder to shape investment strategies for first-time investors and contributing to thought leadership content.
Associate I - Trade Operation - Trade Operations, CTM, Aladdin, CLS
This role involves supporting day-to-day post-trade operations, including trade confirmation, settlement, and FX processing. The candidate will ensure timely and accurate trade processing, resolve exceptions, and coordinate with internal teams and counterparties.
PB Trading APAC
This is a trading assistant role within Prime Services, focusing on APAC markets. The individual will assist the trading desk with risk monitoring, P&L analysis, and critical trade bookings. They will also engage with various internal teams to improve business profitability and efficiency.
Team Member - Financial Planning & Analysis
This role involves supporting financial planning and analysis activities, including timely submission of accurate MIS packs, performance updates, and quarterly business review presentations. The Team Member will also drive the annual operating and business plan cycle, provide decision support to business functions, and contribute to process re-engineering and improvements.
Young Apprentice
This is a 12-month Young Apprentice program at Citi, designed for individuals without prior work experience. Apprentices will gain hands-on experience across various business groups like Banking, Markets, Services, Wealth, Operations, Technology, Internal Audit, HR, and Risk and Control, contributing to day-to-day activities and building a broad skill set.
Finance & Account Internship
This internship involves assisting with financial data entry, including updating transactions and maintaining financial documents. The intern will also contribute to the preparation of management accounting reports and support day-to-day administrative tasks within the finance department.
Service & Operations Process Trainee
The Service & Operations Process Trainee will assist advisors and clients with service issues, requests, policies, and account information, aiming to deliver a unique client experience. This role involves accurately processing service requests, participating in development training, and collaborating with US business partners to resolve queries and ensure timely problem resolution.
KYC Analyst
As a KYC Analyst at Barclays, you will conduct in-depth due diligence, ensure compliance with regulatory requirements, and safeguard clients and the organization. This role involves supporting business areas with day-to-day processing, reviewing, reporting, and issue resolution, while collaborating with various internal departments.
Analyst
The Analyst will be responsible for tracing, researching, reviewing, and auditing trade finance documents, payments, and letters of credit. This role involves identifying and escalating potential risks, reconciling fees, investigating customer inquiries, and ensuring compliance with various bank policies and regulatory agencies. The analyst will also support the processing of specialized trade finance transactions and assist with reporting and improving standard operating procedures.
Credit Intern
The Credit Intern will be responsible for understanding the Affordable Housing Loan segment, conducting customer PD, preparing cash flow, and appraising income. They will recommend cases based on credit policy, handle the disbursement process, and maintain TAT while collaborating with sales and customers.
Finance Intern
The intern will assist with invoice processing, financial record maintenance, and support accounts payable/receivable and bank reconciliations. Responsibilities also include preparing MIS reports, maintaining documentation, coordinating with cross-functional teams, and supporting month-end closing and audit processes.
Analyst Transactions & Processing
This role involves ensuring compliance with regulatory requirements and company policies during the documentation process, including uploading, naming, and verifying financial documents. The Analyst will maintain organized digital filing systems and contribute to continuous improvement efforts in document management.
Analyst - Operations
Responsible for ensuring the timely and accurate processing of transactions, meeting daily deliverables, and resolving issues within established guidelines. This role involves tracking trends, creating reports, and working effectively as part of a team while developing proficiency in all job areas.
Analyst, Portfolio Valuation
This role involves building and reviewing financial models, writing industry and coverage reports, and managing client engagements. The analyst will develop deep technical strength in alternative asset valuation and contribute to global valuation practices.
Finance Executive
The Finance Executive supports daily accounts receivable operations, including credit card reconciliation, CTAC batch approval, and E-Invoicing. This role involves generating accurate financial reports, ensuring timely credit decisions, and maintaining compliance with financial policies and tax regulations.
Financial Consulting Associate - Finance as a Service
This role involves reviewing monthly journal entries, approving reconciliations, and preparing financial statements with variance analysis. The associate will also analyze financial information to provide actionable insights and identify opportunities for process improvements.
Associate, Fund Accounting - Alternative Credit
The Associate, Fund Accounting (Alternative Credit) supports month-end and quarter-end close processes for alternative credit funds, reviewing NAV packages, financial statements, and investor reporting. This role involves monitoring fund liquidity, coordinating audits, and partnering with various internal teams to resolve issues and implement process improvements.
Team Member - Credit Furnishing and Disputes
The Team Member will be an individual contributor in the Credit Furnishing and Disputes team, responsible for processing customer disputes on credit reports. This role involves ensuring timely and accurate processing, data verification, and occasional robotic audits, contributing to the team's productivity and accuracy.
Analyst – Fund Accounting
The Analyst – Fund Accounting is responsible for the daily operations related to Net Asset Value (NAV) delivery for mutual funds, including preparation of tasks, reconciliations, and ensuring timely and accurate NAV calculations as per SLA. This role involves becoming a Subject Matter Expert in NAV calculation processing, validating reconciliation breaks, and actively participating in process improvements and documentation.
Trainee - Operations
This is an individual contributor role within the Global Business Service Unit (GBSU) department, supporting middle/back office operational activities for listed derivatives and Cash Equity products. The role involves operational excellence, client relations, fostering team culture, and contributing to digital innovation.
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