Analyst, Portfolio Resume Samples
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Analyst, Portfolio Resume Samples
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JB
J Blick
Jovani
Blick
203 Adrien Hills
San Francisco
CA
+1 (555) 744 6160
203 Adrien Hills
San Francisco
CA
Phone
p
+1 (555) 744 6160
Experience
Experience
Houston, TX
Analyst, Portfolio Analytics
Houston, TX
Terry-Bechtelar
Houston, TX
Analyst, Portfolio Analytics
- Responsible for Debt maturity monitoring and reporting
- Assist in compiling the Annual Business Plan - a written and graphical summary of the accounts acquisition, disposition, and debt plan for the coming year
- Assist with the compilation of quarterly client and external marketing
- Computer proficiency with a strong working knowledge of the suite of Microsoft Office applications, most particularly Excel
- Responsible for portfolio cash monitoring and Sources and Uses of all cash
- Assist with the compilation of quarterly client quarterly fund level reporting
- Compilation of property budget components in order to derive the fund performance return projections
Detroit, MI
Analyst, Portfolio Management
Detroit, MI
Walter LLC
Detroit, MI
Analyst, Portfolio Management
- Propose and develop improvements to existing business processes
- Propose and develop process improvements to existing business processes
- Research, analyze and develop market and competitive landscape assessments across gaming and digitalmedia industries
- Manage slate updates and monthly market reports and tool
- Assist with portfolio reporting, including returns, market value calculations, and characteristics
- Perform analysis and coordinate responses for Corporate Action events
- Manage cash forecasts for multiple portfolios
present
New York, NY
Analyst, Portfolio Investments
New York, NY
Goyette-Breitenberg
present
New York, NY
Analyst, Portfolio Investments
present
- Assists with preparation of scheduled and ad hoc performance reports
- Maintains checklists for tracking periodic investment managers’ reviews by third party and independent investment manager searches
- Assists in development of financial models to forecast team revenue and income
- Assists with developing individualized client investment strategy for Financial Advisor
- Establish and maintain effective working relationships at all organizational levels
- Assists in development of financial models for revenue and income forecasts
- Assists with research and analytics used in Investment Strategy white papers for Financial Advisors
Education
Education
Bachelor’s Degree in Engineering
Bachelor’s Degree in Engineering
Northeastern University
Bachelor’s Degree in Engineering
Skills
Skills
- Hard working, detail-oriented, and committed to producing great end results
- Highly proficient in Microsoft Office (Excel, Powerpoint and Word)
- Detail oriented (attention to detail on formatting, numbers, technical issues and legal documents)
- A self-teacher and quick learner able to pick up the technical skills necessary for any project
- Demonstrated track record of strong leadership
- Demonstrated ability to prioritize work and manage time
- Ability to thrive in a fast-paced, rapidly changing work environment
- Ability to assemble information from multiple sources and create logical and strategic recommendations
- Strong analytic and financial modeling skills
- Strong interpersonal skills
15 Analyst, Portfolio resume templates
Read our complete resume writing guides
1
Analyst, Portfolio Management Resume Examples & Samples
- Update and maintain various historical and projected performance reports
- Run scenario analysis on the existing portfolio, evaluating different financing structures
- Perform discounted cash flow analysis on various investments
- Run portfolio-level sensitivity analysis
- Monitor the market and industry trends
- Interpret how different macroeconomic scenarios will affect investment return
- Execute various ad-hoc analysis including gathering, interpreting and summarizing RMBS and CDO-specific bond and performance data
- Interpret data and research and communicate/distribute findings to the team on an ongoing basis
- Strong written communication and presentation skills a must
- Strong analytic and financial modeling skills
- A quantitative thinker who is able to use numbers to generate and validate critical concepts and extract insight and conclusions based on data and market intelligence
- Demonstrated track record of strong leadership
- Team player with a positive attitude
- 1-2 years of experience at a financial institution, hedge fund or audit/consulting firm
- Completion of a 2-year analyst training program at a bulge bracket firm a strong plus
- Prior knowledge of RMBS, CDOs and/or fixed income a plus, but not a requirement
2
Analyst, Portfolio Management Resume Examples & Samples
- Support development of global product strategies for our businesses, including the development of slate parameters, market assessments, competitive analyses and recommendations
- Research gaming and digital market trends, and assist in market sizing and industry / competitive overview. Example projects include mobile monthly market report, genre analyses, comparable market analyses, etc
- Support financial forecasting efforts by finding and evaluating competitive titles, constructing detailed financial models, and creating presentations to disseminate findings across Disney Interactive
- Create other strategic analyses and presentations as required
- Maintain Disney Interactive and TWDC slate repository and distribution materials
- Partner with TWDC and global stakeholders to identify partnership opportunities and resolve potential conflicts
- Undergraduate degree in business, economics, math or related field preferred
- 1-2 years in strategy / management consulting or investment banking
- Experience creating detailed and complex financial models in Excel and working with large data tables
- Excellent verbal and written communication skills with the ability to present and interface with multiple levels of management and staff
- Highly proficient in Microsoft Office (Excel, Powerpoint and Word)
- Ability to thrive in a dynamic business environment that requires rapid learning, multitasking and prioritizing under tight deadlines
- Ability to assemble information from multiple sources and create logical and strategic recommendations
- Detail oriented (attention to detail on formatting, numbers, technical issues and legal documents)
- Passion for gaming – especially in the mobile, console and PC spaces
3
Analyst Portfolio Management Resume Examples & Samples
- Receivable/loss planning
- Debt sale CBAs
- Ad hoc modelling & analysis based on business need
- Other project work
4
Senior Analyst, Portfolio Analysis Resume Examples & Samples
- Develop a solid understanding of trading and non-trading market risks across RBC
- Contribute to the development of the market risk stress testing program, with an emphasis on validating and improving the market data used for scenario and economic analysis
- Facilitate the integration of stress scenarios across 1) all market risks at RBC 2) derivative and counterparty risk and 3) market and trading credit-related capital
- Assist in the development of severe but plausible economic/market scenarios that could impact RBC’s financial condition, including liaising with Local Market Risk and other subject matter experts
- Contribute to the completeness and reasonableness of stress results through review and market research
- Liaise with Risk Management staff globally to understand, validate, and summarize key market risks in trading books
- Contribute to the proper execution of all regulatory stress tests
- Assist ad-hoc analyses of scenario results to highlight risk concentrations and trends to senior management and the Capital Markets Operating Committee
- Contribute to the design of key components of the strategic market risk platform that are related to stress testing
- Internship experience in trading or trading risk management roles
- Thorough knowledge of traded products including derivatives and their associated risks
- Good understanding of the bank and broker-dealer regulatory environment
- Working knowledge of trading book capital requirements
- Excellent knowledge of MS Excel, exposure to MS Access and other database programs, and knowledge of Matlab
- Strong knowledge of programming languages, preferably Visual Basic
5
Analyst Portfolio Management Resume Examples & Samples
- University degree - graduate with background in either statistics, econometrics, natural sciences, financial or insurance mathematics
- Above-average computer skills (MS Office, SQL programming and database experience)
- Very strong English
- Knowledge of US GAAP and CZ GAAP * Negotiation and communication skills (written and verbal) Would you like to know more? https://www.gemoney.cz/en/about-us
6
Analyst, Portfolio Analytics Group Resume Examples & Samples
- Responsible for maintenance and support of our existing models, applications, and processes: Contribute to both strategic and tactical projects to ensure the company has the most up to date analytics measures and tools in the current market environment
- Develop deep understanding of risk management and asset allocation theory and techniques & develop subject-matter-expertise in Aladdin risk models and tools
- Interact with Financial Modeling Group and play an active role in the coordination of risk model and tool releases, ranging from project managing, testing and validating new models and analytics, developing deployment plans, creating documentation on the changes, and communicating and explaining new capabilities to the internal and external client base
- Serve as a resource to internal groups (Client Analytics, Risk & Quantitative Analysis, Institutional and Retail Client businesses, and Investment Strategy Groups) and external clients on analytics and modeling topics
- Help improve and document our analytic models and processes for external consumption
- Prior Experience of 2-3 years in the Financial Services industry
- Good understanding of portfolio theory, fixed-income analytics, multi-asset products, and markets
- Strong quantitative kills a must
- Programming skill is a plus
7
Analyst, Portfolio Construction Analysis Resume Examples & Samples
- Supporting senior professionals in the development of a multi-strategy portfolio management and client reporting suite
- Supporting the data and analytics requests of senior team members and Portfolio managers to advance the Multi-Strategy investment process; this includes, but is not limited to the production of performance results, relative value metrics, market color and benchmark statistics
- Preparing a large number of ad hoc and standardized reports, as well as participating in the research, design and creation of new reports as needed
- Serving as a subject matter resource to Sales Representatives, Portfolio Managers and Client Services
- Reviewing financial data for various Oaktree professionals and developing charts and tables for presentations and publications
- Preparing, as necessary, competitor analysis, performance contribution/attribution analysis, and other reports at the request of members of Marketing, Client Relations, and the Investment Teams
- Mastering system technology to leverage where possible for report automation
- Collaborating with Business Analysts and Information Technology to automate reports
- Outstanding initiative and a strong work ethic
- Ability to operate independently on short and long term goals
- Excellent interpersonal skills with the ability to leverage firmwide resources in an effective and judicious manner
- Detail-oriented and a natural problem solver; have the resolve to independently research problems and offer solutions
- Must be team-oriented and possess integrity and professionalism and share Oaktree’s common goal of excellence
- 2 to 5 years of experience working at an Asset Management company, Investment Bank or other related financial services company (including financial services technology vendors) in a portfolio reporting and analysis capacity
- Familiarity with Credit instruments (High Yield Bonds, Leveraged Loans, Convertible Securities, etc.)
- Knowledge of relevant reporting outputs and metrics including performance reporting, risk metrics and portfolio characteristics
- Familiarity with creating different reporting perspectives: region/country breakdown, industry breakdown, maturity distributions, credit quality buckets
- Expertise in analyzing data and metrics with sufficient familiarity to recognize potential issues
- Experience managing and manipulating large amounts of data
8
Senior Analyst Portfolio Risk Management Resume Examples & Samples
- Bachelor’s Degree in Mathematics, Statistics, Economics, Finance, Business or other related fields
- 4+ years of consumer credit, risk management or financial services industry experience
- Strong knowledge consumer credit products, preferably with Mortgage products
- In depth knowledge of applicable regulatory and Bank policies and procedures related to consumer lending
- Proficiency in Microsoft Suite of products such as Excel, Word, Power Point and Access
- Proficient with statistical analysis and data mining tools such as SQL, SAS, CHAID, CART, KnowledgeSeeker, etc
- Ability to access complex data sources, manipulate data and execute code/queries to provide high quality analysis
- Strong interpersonal and communication (verbal and written) skills
- Ability to prioritize and manage multiple complex tasks in a dynamic work environment
- Ability to influence key stakeholders to drive proactive portfolio management actions
- Ability to present complex information in a clear and concise manner appropriate for the target audience
- Sound judgment and independent decision-making skills
9
Analyst, Portfolio Management Resume Examples & Samples
- Research, analyze and develop market and competitive landscape assessments across gaming and digitalmedia industries
- Evaluate product performance, analyze large, complex data sets and design detailed financial models tosupport product forecasting efforts
- Define and lead research, modeling / analytics and prepare presentations with actionable insights insupport of the development and implementation of strategic initiatives for interactive games and digitalentertainment products
- Provide recommendations on digital / games product strategy, including audience, platforms, genres, monetization, etc
- Understand and interpret key industry metrics such as: Lifetime Value of Users, Player Retention and Conversion Rates and Cost-per-Install across different user acquisition channels
- Help formulate strategic slate recommendations for driving the optimal digital portfolio for Disney Interactive
- Manage slate updates and monthly market reports and tool
- Prepare and deliver communications / presentations both to and for executives and actively contribute to meetings with leadership
- Proactively develop and maintain relationships with key stakeholders / partners across the Company
- Minimum 2 years of Strategy or Consulting related work experience
- Gaming experience a plus
- Experience creating detailed financial models in Excel
- Advanced quantitative analysis skills with ability to take ideas from brainstorm to execution stage, including translating analyses into actionable insights and recommendations
- Strong written and verbal communication skills, with the ability to develop presentations and present to and interface with multiple levels of management including senior executives throughout the Company
- Self-starter with a passion for and solid understanding of the digital products and gaming landscape
- Proven ability to influence people without direct reporting relationships
- Ability to thrive in a dynamic business environment that requires rapid learning, multitasking andprioritizing under tight deadlines
- Advanced proficiency in Excel and Power Point required
- Bachelor’s degree required; business, economics, math or related field preferred
10
Analyst, Portfolio Optimisation Resume Examples & Samples
- Maintenance of the financial status of all PB SaMC initiatives to support meeting financial and delivery targets as well reporting to senior leadership
- Assistance in the facilitation activities of PB SaMC forum and the provision of an accurate financial position of all initiatives and insights from monthly financial reporting
- Participation in various projects and policy reviews, including transformation projects, financial modelling and planning, process improvement and efficiencies
- Collaboration in the support of the management of the SaMC prioritisation funnel to enable delivery by EP&C Small & Medium Projects as prioritised to align to PB strategy
- Engaging with financial partners and signatories to drive the right spend decisions aligned to support; initiatives in delivery, yearly spend targets and remaining compliant with NAB accounting/finance policy
- Working with other business units to ensure the standardisation of SaMC prioritisation across PB and aligned to NAB Change management principles
- Assistance in the preparation of Governance & Committee forum documentation
- Proactive identification of improvement opportunities and best practices with supported work instructions
- An analytical background and be proficient in analysing and interpreting data
- Exceptional relationship management and influencing skills
- An understanding and some insight on NAB's customer base
- A working knowledge of Microsoft Powerpoint and Excel
- This is an ideal opportunity for an analytical and customer focused professional to take the next step in their career and provide insight and analysis to senior management to impact Personal Banking
11
Analyst, Portfolio Analytics Resume Examples & Samples
- Assist with the compilation of quarterly client and external marketing
- Flash reports
- Portfolio Quarterly reports (data aggregation, analysis, and client communication including the investor letter and any follow-up correspondence and associated requests)
- Portfolio/property level return files leverage and unleveraged
- Response to marketing requests as needed (including quarterly client questionnaires)
- Assist with the compilation of quarterly client quarterly fund level reporting
- Internal reporting: compilation of pertinent debt schedules, loan covenant reports, appraisal scheduling with NVC, GIPS valuation testing, requests to/from SCA asset managers, debt appraisal reviews, asset appraisal reviews, Investment Committee risk reviews, etc
- External reporting: will involve oversight of client/consultant reporting requirements, etc
- Assist in compiling the Annual Business Plan - a written and graphical summary of the accounts acquisition, disposition, and debt plan for the coming year
- Assist in compiling fund-level projections regarding returns, capital needs, leverage, revenue, fees, guaranties. Use of portfolio excel models and various internal information systems to determine changes to relevant metrics (Liquidity, LTV, Non-Core, returns, sector allocation, diversification, etc) under a given set of scenarios and sensitivities
- Compilation of property budget components in order to derive the fund performance return projections
- Ad hoc portfolio level requests
- Production of Portfolio Suitability Sheets (distributed at Investment Committee meetings)
- Responsible for portfolio cash monitoring and Sources and Uses of all cash
- Responsible for Debt maturity monitoring and reporting
- Assist with information management system initiatives focused on improving the current Resolve, Request and Tableau systems as well as exploring and testing new system applications that will improve overall automation of data management
- Support asset managers and take on specific assignments when needed
- Bachelor's degree in Finance or Accounting required
- Minimum 2-5 years experience in a finance or accounting related discipline
- Ability to work on a team and work independently
- Computer proficiency with a strong working knowledge of the suite of Microsoft Office applications, most particularly Excel
- REIT/Tax knowledge a plus
12
Analyst, Portfolio Onboarding Resume Examples & Samples
- Contract Negotiation, Event Management and Ongoing Maintenance
- Determine contract requirements for each event utilizing team members’ expertise
- Negotiate and maintain basic/moderately complex contracts/investment guidelines with all money managers hired in the funds and separate accounts globally, with increasing exposure to complex contracts required for a manager change in a fund complex or a manager hire(s) for a new fund launch. Evaluate money manager requirements and issues and recommend appropriate course of action for resolution, specific to derivatives
- Work with Russell portfolio managers and external money managers to draft/negotiate appropriate content for investment guidelines
- Collaborate with senior members of the team to evaluate money manager issues and facilitate resolution and/or review of legal issues with appropriate attorneys
- Gain exposure to the end-to-end process for manager changes from ISC approval to signed contract receipt to ensure completion of all implementation steps
- Coordinate activities with Legal, Compliance, Trading and Operations teams
- Analyze and consult with senior team members to determine derivatives contract requirements for each event
- 90%
- Negotiate with internal and external legal counsel on the documentation for implementing derivative-related counterparty contracts (e.g. ISDA, futures, prime brokerage, etc.) for all money managers, separate accounts, sleeves or other products in the funds or owned by the Investment Division. 10%
13
Credit Analyst / Portfolio Analyst Resume Examples & Samples
- Active management of debt facilities, including
- Being the point of contact with all lenders
- Responsibility for timely and accurate delivery of all information requirements
- Coordinating delivery of information from portfolio team and administrators
- Leading discussions with lenders regarding waivers
- Implementing processes that ensure compliance with facility agreements
- Involvement in refinancing projects
- Internal reporting on status of facilities
- Internal forecasting on covenant compliance
- Accounting and monitoring of all hedging instruments
- Implementing processes that ensure new debt facilities (primary or acquired) are on-boarded in a timely
- Support to investment team on matters relating to debt
- Being familiar with debt models from a reporting and sensitivity perspective
- General support to Portfolio and Investment teams
- Extremely strong academics
- Experience in a banking environment
- Experience in renewable energy helpful
- Must have Renewable Energy experience
14
Senior Analyst Portfolio Services Resume Examples & Samples
- Prepare monthly governance packs which include well-formed decisions, supported by facts, insights, advise portfolio health and emerging environmental factors
- Provide secretariat support for monthly portfolio governance meetings including effective minute taking
- Develop meaningful insights for investment committee decision making through critical analysis and assessment of project and portfolio data
- Track and maintain portfolio execution health flagging variances to baseline portfolio: benefits, cost, dependencies and risk positions
- Actively share quantifiable opportunities to improve the portfolio mix and sequence to frontload benefits, reduce cost and risk profiles through insights provided
- Maintain accurate portfolio documentation including committee actions and decisions and ensure relevant portfolio tools are updated accordingly
- Support projects positioning of stage gate decisions, ensuring that context and decisions requested are accurate and clear
- Engage with stakeholders through daily interactions across the portfolio community (e.g. Program Managers, Project Managers, Business Management, PMO, Finance, Risk
- Identify and implement continuous improvement initiatives to improve the overall performance, development and capabilities across Portfolio Services
- Project delivery experience, in either a project or governance role
- Experience with project management systems, tools and processes
- Excellent interpersonal, executive writing and communication skills with a strong ability to influence stakeholders
- Prior experience in supporting multiple Program & Project Managers within a fast paced, busy working environment
- Experience working in financial services sector or general consulting experience
- University qualification in commercial / IT discipline
- Portfolio or Project management certification
- Advanced Microsoft Excel and Power Point skills
15
Analyst, Portfolio Onboarding Resume Examples & Samples
- Negotiate with internal and external legal counsel on the documentation for implementing derivative-related counterparty contracts (e.g. ISDA, futures, prime brokerage, etc.) for all money managers, separate accounts, sleeves or other products in the funds or owned by the Investment Division
- Demonstrated expertise with negotiations, consultation, and relationship building skills
- Demonstrated high level analytical and problem solving ability to accurately diagnose key moderately complex issues; demonstrated expertise to understand and utilize data to accurately diagnose key issues
- Demonstrated expertise in working closely with many different internal clients to successfully manage objectives and results; sees the benefits and values collaboration
- Demonstrated ability to understand the impact of decisions and the ability to strive to improve team performance
- Demonstrated ability to implement strategies and plans; demonstrated experience and/or knowledge of project management fundamentals
- Investment management, financial services, business knowledge and experience
- Good understanding of investment content
- High energy and productivity level; assertive, self-motivated, can work independently and take initiative. Participates in strategic solutions and innovative thinking. Identifies what needs to be done and takes action before being asked or required; presents/implements new ideas or potential solutions without prompting
- Excellent organizational skills and the ability to prioritize assignments, based on a broad understanding of the business requirements, to meet project deliverables; Establishes course of action for self and others to ensure that the work is done efficiently; takes the initiative to work necessary overtime as required
- Demonstrated team player with ability to interact well with all levels of internal and external personnel and adapt to rapidly changing requirements; Proactively helps other team members to be productive/successful; Participates in or facilitates the open exchange of ideas among the team and participates and/or leads work teams
16
Credit Analyst & Portfolio Manager Resume Examples & Samples
- Master degree in Banking and/or Finance or related field
- 3-5 years of experience in banking industry, especially credit analyst or relationship manager or portfolio management
- Sound credit knowledge and analytical skills
- Ability to identify risk and raise issue with initiative mitigation
- Strong communication skills and able to demonstrate sufficient credit logical view with thought process sequent
- Excellent interpersonal, positive attitude towards work and result oriented
- Good command of both spoken and written English
- Computer literacy
17
Analyst, Portfolio Management Resume Examples & Samples
- Manage cash forecasts for multiple portfolios
- Propose and develop improvements to existing business processes
- Perform analysis and coordinate responses for Corporate Action events
- Research individual securities to determine suitability for investment
- Oversee database updates for daily trades, data changes, and company eligibility
- Facilitate the daily foreign exchange trading process
- Substantive communication with Portfolio Managers, Traders, DFA foreign offices, and custodian banks
- Perform portfolio reconciliation
- Conduct portfolio reporting, including returns, market value calculations, and characteristics
- Participate substantively in special projects including portfolio characteristics analysis, index rebalance analysis, and ad hoc data requests
- Bachelor’s degree with minimum 3.0 GPA required
- One to two years of Financial Services Industry experience required
- Must be detail oriented, organized, highly motivated and able to work independently and in a team environment
- Ability to absorb and apply information from formal and informal learning experiences
- Strong communications skills (verbal and written)
- Interest in financial markets
- Knowledge of databases (MS Access, SQL) preferred
18
Senior Analyst, Portfolio Profitability Resume Examples & Samples
- Create and disseminate product/portfolio level KPI reports to Product Strategy and Management team
- Work closely with Finance and cross-functional teams to align analyses and pro-formas to corporate standards
- Develops a strong alliance with Sales Operations to ensure price books are up-to-date
- Assist in analyzing impact of business cases developed by product and portfolio leads
- Bachelor’s degree in business related or analytical discipline preferred
- This position requires the ability to communicate effectively to groups both verbally and nonverbally and the ability to retain information and instructions, including the ability to apply the information and instructions to new tasks that may be assigned
19
Credit Analyst / Portfolio Manager Resume Examples & Samples
- A Bachelor's degree or equivalent; MBA preferred
- FINRA Licenses: Series 79 and 63 helpful
- A minimum of 7+ years credit related work-experience
- Relevant industry experience is a decisive asset
- A solid credit and analytical background with work experience as a Corporate Finance professional
- Strong financial modeling skills a must
20
Credit Analyst / Portfolio Manager Resume Examples & Samples
- Bachelor’s degree, or its equivalent
- Minimum 3-4 years' relevant experience
- Functional background or relevant coursework in finance and accounting
- Highly motivated with strong academic background
- Flexibility, ability to learn quickly
- Ability to speak, read and write in English
- Minimum of 4 years' experience with Microsoft Office applications (Word, Excel, PowerPoint)
21
Analyst, Portfolio Management Resume Examples & Samples
- Coordinate with Portfolio Managers and Analysts in Dimensional’s global offices on topics such as corporate actions, cash balances, and portfolio holdings
- Directly support the daily foreign exchange trading process across global portfolios
- Research eligibility of individual securities to determine suitability for investment
- Assist with portfolio reporting including returns, market value calculations, and characteristics as well as the preparation of materials for client meetings
- Special projects including portfolio analysis, index analysis, and ad hoc data requests
- Bachelor's degree in engineering, mathematics, science, finance or another technical discipline is essential; additional studies will be advantageous
- One to two years of Financial Services Industry experience a plus
- Prior exposure to programming and/or databases (MS Access, SQL, VBA) preferred
22
Analyst, Portfolio Analysis Group Resume Examples & Samples
- Dynamically monitor and assess portfolio positioning with respect to interest rate, currency and credit risk exposures and thresholds, providing construction and alignment insight where possible
- Integrate specific client guidelines, objectives and risk tolerances into the firms investment process and strategies to ensure complete portfolio management and analytics are in place for all portfolios
- Follow developments, views and themes within the market or markets applicable to the desks being covered, understand how those drive portfolio positioning and performance
- Provide leadership, talent development and execution against the organizations strategic goal set. Maintain the Portfolio Analysis Groups position as a world class provider of Investment Analytics
- Work with peers across mandates to ensure analytics processes and methodologies are applied consistently and efficiently
- Deliver and effectively communicate monthly and quarterly performance attribution analysis
- Work with constituents throughout the organization to ensure that the Portfolio Analysis Group, Portfolio Management teams and the Risk Management Group have the tools and technology required to effectively manage portfolios
- Support Quantitative Modeling / Optimization of developing trade and portfolio construction ideas produced within the Investment Strategy Function
- Compare and contrast various benchmarks and their risk and positioning profiles, assess appropriate benchmarking for given mandates or clients
- Remain current on all applicable technology related to portfolio analytics, attribution methodologies, modeling methodologies and risk management tools
- Construction of model portfolios based on client or prospect guidelines as well as modeling of impact of cash flows to existing portfolios
- 3-5 + years of experience in Fixed Income Investments and a demonstrated passion for Fixed Income Analytics
- Bachelors degree with concentration(s) in Mathematics, Finance, Economics, or Engineering
- MBA, CFA, other applicable masters level work such as Statistics or Quantitative Finance or equivalent experience
- Demonstrated leadership skills or high potential in this area
- Strong demonstrated quantitative skills (project experience involving data analysis a plus)
- Extensive experience with MS Excel and other technical data analysis / modeling tools
- Demonstrated skills as a team player, excellent verbal and written communications skills
- Ability to thrive in a fast paced environment while working on multiple tasks both independently and within a team construct
23
Analyst, Portfolio Management Resume Examples & Samples
- Update and manage cash forecasts for multiple portfolios
- Perform company analysis and classification
- Communicate with Portfolio Managers, Traders and Analysts in the Sydney office and the firm’s offices around the world
- Communicate with custodian banks and other agents
- Assist with portfolio reporting, including returns, market value calculations, and characteristics
- Undertake one-off projects including portfolio characteristics analysis, index rebalance analysis, and ad hoc data requests
- Collate and report company and market relevant information
24
Analyst, Portfolio Engineering Resume Examples & Samples
- Work closely with researchers, portfolio managers, and technology partners to develop, deploy, and support production investment models and processes
- Enhance the quality and robustness of our investment processes by implementing QA and testing frameworks
- Assist in the day-to-day activities of managing portfolios and the monitoring of Quantitative Equity’s investment models and processes
- Prototype and develop research and PM tools, analytics, and flexible reporting to meet our expanding strategies and investment universe
- Contribute to the research process with a particular focus on non-financial data, natural language processing and machine learning tools
- Stay on top of current market conditions, academic research, and relevant technological innovations
25
Analyst Portfolio Management Resume Examples & Samples
- Contributing to the implementation of the Portfolio Management operating model and structure for Functionalised PM Hub that delivers consistently excellent service and efficient cost to serve which will act as a Centre of Excellence for CPB
- Testing the financial covenants of the customers by closely monitoring customer’s compliance, ensuring financial covenant information is appropriately documented in the facility agreement, monitoring and obtaining compliance certificates
- Providing insight and trend data to help shape the new business agenda and contributing towards the creation of a diverse but cohesive culture within Portfolio Management teams, including using experience and knowledge to assist others
- Managing a simple portfolio of customers, addressing issues, preparing annual reviews, reviewing account behaviour and monitoring EWIs and undertaking credit apps, including credit reviews, as required
- Assuming ownership of the offshore Portfolio management process for a simple portfolio of CPB customers, acting as a contact point for stakeholders to ensure information is shared, timescales are adhered to and escalations are managed effectively
- Working knowledge of relevant bank systems , processes and products
26
Lead Analyst Portfolio Management Resume Examples & Samples
- Ability to operate within large and diverse professional teams
- Understanding of the basics of accounting and banking principles
- Ability to work with limited supervision on routine portfolio management activity and to work to client deadlines and expectations
- Exceptional skills in articulating ideas and complex information in a clear and structured manner
27
Senior Analyst Portfolio Management Resume Examples & Samples
- Contributing to the implementation of the Portfolio Management operating model and structure for Functionalized PM Hub that delivers consistently excellent service and at an efficient cost to serve which will act as a Centre of Excellence for CPB
- Being determined to Lead principles to ensure that efficiency and effectiveness are maximized
- Experience of relevant legal policies, regulatory and statutory obligations and risk management
28
Analyst Portfolio Management Resume Examples & Samples
- Contributing to the implementation of the Portfolio Management operating model and structure for the Functionalised PM Hub that delivers consistently excellent service and at an efficient cost to serve which will act as a Center of Excellence for CPB
- Ensuring customer satisfaction through timely work delivery and quality
- Working knowledge of relevant bank systems, processes and products
29
Credit Analyst & Portfolio Manager Resume Examples & Samples
- Perform financial and credit analysis on Wealth Management clients, including credit underwriting
- Complete loan approval package to include credit memorandum and other appropriate information
- Generate loan documents and assist with loan closings as needed
- Book loans with loan operations, and ensure all items are included, and monitor exception tracking
- Monitor loan portfolio, including maturing loans, past dues
- Monitor collateral value and control/ manage LOC availability, including investment secured lending
- Work with Wealth Management team to support other client support needs – as needed
- Proactively work with teammates to uncover opportunities and develop strategies to address client needs. Participates in customer and prospect calls as necessary
- Manage deal flow to ensure superior client experience
30
Senior Analyst, Portfolio Analytics Resume Examples & Samples
- Leverage syndicated data, advanced analytics (regression models and forecasting tools), and primary data (surveys, discrete choice) to monitor and deliver insights on business issues
- Work on projects with research vendors across both secondary and custom suppliers to help deliver on-time highly insightful analysis, synthesized across data sources
- Assist with developing forecasting tools and capabilities across multiple levels of product/geography/channel to enable granular portfolio strategy recommendations
- Candidate will be required to work efficiently and effectively - building on the feedback from manager and cross functional partners
- Willingness to work in a fast paced environment, matrix org, adapt to changes and effectively work and collaborate on cross-functional teams
- Minimum 3 years' experience in client facing role in a top tier manufacturer and/or market research company
- Bachelor's Degree required (Masters or MBA preferred)
- Advanced Excel and Powerpoint skills required
- Strong problem-solving skills (e.g., analytical, quantitative and conceptual thinking) required
- Good working knowledge of database mining and analytical techniques required
- Must have experience with syndicated analytics and/or custom analytics
- Knowledge of Tableau, Thinkcell, Social Listening analysis a plus
- Must be willing and able to travel 10% of the time
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Senior Analyst, Portfolio Margin Resume Examples & Samples
- Organize workflow, set priorities, monitor activity, and ensure completion of daily functions through sign off logs
- Review and monitor productivity results to ensure all work is completed accurately and by the designated deadlines on an ongoing basis
- Assist the manager to engage associates through Mentoring, skills development & setting expectations on personal growth
- Provide review for large disbursements, transfers, and complex margin issues on portfolio margin accounts
- Assist with documenting, maintaining and updating Desk procedures on all Margin related processes to ensure accuracy for training and auditing purposes
- Identify defects and perform systems testing when systems managers provide a resolution to ensure the defects are correctly resolved
- Proactively establishing relationships with business partners and seeking out ways to improve processes and communication throughout the organization
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Product Analyst, Portfolio Valuations Resume Examples & Samples
- Working on the quantitative, analytical and technological development of exotic interest rate and inflation derivative valuation capabilities
- Providing on-going communication to clients on any issues relating to exotic interest rate and inflation derivative valuations including the co-ordination of complex client trials and addressing non-standard queries and price challenges
- Enhancing existing pricing models or specifying / building / testing / calibrating pricing models to support new products within these asset classes
- Ensuring the quality and reliability of market data inputs and calibrations for the pricing of the derivative instrument types within these asset classes
- Working closely with other product groups and the global sales team in order to participate in driving the business and identifying product opportunities
- Undergraduate or Master’s degree in a financial or quantitative discipline is essential
- Proven track record in pricing interest rate or inflation derivatives with calibration to the traded markets is essential
- Direct client-facing experience desirable
- Strong analytical, quantitative and problem solving skills are essential
- Proficiency in Excel and VBA essential, proficiency in XML and SQL desirable
- Prior industry experience at reputable financial institutions or financial services firm is desirable
- Practical understanding of the basics of mathematical finance and derivatives pricing
33
Risk Analyst Portfolio Models Resume Examples & Samples
- In this role, you will contribute to the independent validation of portfolio models, including the Alpha factor for the purpose of capturing wrong-way risk in derivatives transactions
- Your tasks will include collecting key data, performing extensive analyses and discussing your findings with other units in support of effective risk management
- In addition, the position will involve activities and measures aimed at enhancing existing validation concepts as part of the continuous improvement process
- You will also be expected to conduct impact studies and draw up well-conceived, intelligible reports and presentations for various committees
- Embracing our culture of excellence, you will review and assess analyses performed by the development team in order to address any existing validation-related issues
- Last but not least, your responsibilities will include presenting the team’s validation results to regulators and external auditors
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Analyst, Portfolio Onboarding Resume Examples & Samples
- Determine money manager and derivatives contract requirements for each event utilizing team members’ expertise
- Negotiate with internal and external legal counsel on the documentation for implementing derivative-related counterparty contracts (e.g. ISDAs, futures agreements, Collateral Control Agreements, Listed Options, etc.) for all money managers, separate accounts, sleeves or other products in the funds or owned by the Investment Division
- Work with Russell Investments’ portfolio managers and external money managers to draft appropriate content for investment guidelines
- Collaborate with senior members of the team to evaluate issues relating to money managers, clients, trading counterparties, and work with functional business representatives to facilitate resolution and/or review of legal issues with appropriate attorneys
- Gain exposure to the end-to-end process for manager changes from governance approval through to signed contract receipt to ensure completion of all implementation steps
- Demonstrated high level analytical and problem-solving ability to accurately diagnose key moderately complex issues; demonstrated expertise to understand and utilize data to accurately diagnose key issues
35
Analyst, Portfolio Management Resume Examples & Samples
- Propose and develop process improvements to existing business processes
- Research individual fixed income securities to determine suitability for investment
- Bachelor’s degree in Engineering, Computer Science, or a related field with minimum 3.0 GPA is required
- Technical experience with MS Access, SQL, VBA, and/or Python
- Must be authorized to work in the US without sponsorship at any time
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Analyst, Portfolio Investments Resume Examples & Samples
- Collects fundamental research on related companies as requested by Financial Advisors
- Uses analytical tools, software and methodologies to research investment products, asset allocation and comparative analysis on portfolios
- Assists in preparation of written industry and company specific reports
- Assists in development of financial models for revenue and income forecasts
- Assists with research and analytics used in Investment Strategy white papers for Financial Advisors
- Assists with preparation of presentations, portfolio/equity analyses, and proposals for High Net Worth and institutional clients and prospects
- May participate in client meetings to identify client goals and tolerances
- Assists with developing individualized client investment strategy for Financial Advisor
- Responds to inquiries from Financial Advisors to research and resolve issues
- Prepares customized written industry and company specific reports upon request to Financial Advisor
- Assists in development of financial models to forecast team revenue and income
- Assists with preparation of scheduled and ad hoc performance reports
- Maintains checklists for tracking periodic investment managers’ reviews by third party and independent investment manager searches
- Generates periodic reports on investment analyses and peer group comparisons with relevant investment benchmarks for clients
- Completes ad hoc projects and reports as assigned
- Software necessary for portfolio analysis
- Investment concepts, practices and procedures used in the industry
- Effectively managing client relationships
- Strategic planning as part of client retention focus
- Gathering and compiling information and data
- Complete job duties independently, with little supervision
- Participate in professional organizations and activities
- Maintain currency in industry services and products
- Bachelor’s Degree (B.A.) in related field; Minimum two (2) years’ experience in financial services environment with an emphasis on conducting market research and analysis