Job Description: As a Portfolio Manager with Python expertise, you will be responsible for managing a diverse range of investment portfolios while leveraging Python programming to enhance portfolio analytics, risk management, and trading strategies. You will work closely with senior management, analysts, and traders to optimize portfolio performance through data-driven insights, automation, and quantitative analysis. Key responsivities will be- KYB, Credit and Fraud Check, Merchant Communication, Risk Operations, Rule Management Portfolio Optimization, Performance Monitoring