44 portfolio analyst jobs at 19 companies in Buzzards Bay, MA
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Portfolio Analyst
Boston, Massachusetts, United States
$78k-$141k/yrHybridFull Time
ManulifeNYSE: MFC: Provides life insurance, investment management, and global financial services.
0+ YOE0–4 years in investment or financial analysis, portfolio reporting, real assets, agriculture, or related fields; advanced Excel and financial modeling; bachelor's or graduate degree; strong analytical, communication, and organizational skills.
Microsoft Excel, Power BI, data visualization, database tools, coding, workflow automation
Equity Solutions Portfolio Analyst – Portfolio Construction & Optimization
Boston, Massachusetts, United States
$175k-$200k/yrHybridFull Time
Franklin TempletonNYSE: BEN: Global investment firm providing asset and wealth management services.
5+ YOE5+ years in portfolio construction or quantitative investment role; strong quantitative, portfolio optimization and risk analysis skills; proficiency with portfolio analytics platforms and coding/querying tools; strong communication.
Fidelity Investments: Provides investment management, retirement planning, and brokerage services.
5+ YOE5+ years in investment management with applied quantitative finance; graduate degree in a related field; quantitative portfolio construction; Python, R, SQL, Git; CFA preferred.
Fidelity Investments: Provides investment management, retirement planning, and brokerage services.
5+ YOE5+ years in investment management with applied quantitative and technical skills; graduate degree in a related field; proficiency in Python, R, SQL and Git; strong communication and portfolio construction experience.
Peabody Properties: Manages and develops affordable and multi-family residential communities.
3+ YOE3+ years financial analysis experience in property management, bachelor's in finance/accounting, RealPage OneSite and Microsoft Office proficiency, strong budgeting, forecasting, analytic and communication skills.
RealPage OneSite, Microsoft Word, Microsoft PowerPoint, Microsoft Excel
Wellington Management: Manages investment portfolios and provides financial research for institutions.
4+ YOE3-5 years in fixed income; strong analytical/quantitative skills; Python preferred; bachelor’s degree required; CFA or progress toward is favorable.
Eastern BankNASDAQ: EBC: Provides personal banking, commercial lending, and wealth management services.
5+ YOECredit-trained professional with 5+ years experience, credit analysis and underwriting skills, financial reporting and covenant tracking, coach analysts and manage portfolio tasks.
Denver or Austin or San Diego or Boston or Costa Mesa or San Jose or Reston
$122k-$161k/yrOnsiteFull Time
Western Alliance BankNYSE: WAL: National commercial bank providing specialized financial and business solutions.
6+ YOERequires 6+ years of portfolio management experience, a bachelor's degree or equivalent, commercial credit and loan structuring expertise, credit analyst training, regulatory knowledge, and advanced communication skills.
Systematic Fixed Income Portfolio Analyst – Client Role
Boston, Massachusetts, United States
$100k-$130k/yrHybridMultiple Commitments Available
Altbanq: Provides small business financing and payment processing solutions.
1+ YOEBachelor’s or Master’s in quantitative discipline; 1–4 years in portfolio analytics or related fields; knowledge of fixed income, macro analysis, or systematic strategies; ML/cloud/data tools a plus.
Fixed income analytics, Machine learning, Cloud technologies, Data engineering, Portfolio reporting tools
Valuation Research Corporation: Provides independent valuation and financial advisory services globally.
0+ YOEBachelor's or Master's in Finance/Accounting/Economics, 0–2 years modeling experience, strong Excel/Word skills, analytical and communication abilities, US work authorization required.
Electronic Medical Records (EMR), Microsoft Excel, Microsoft Word
Senior Analyst, Portfolio Strategy & Management - Liberty Mutual Investments
Boston or New York
$90k-$180k/yrOnsiteFull Time
Liberty Mutual Insurance: Global provider of property and casualty insurance products.
3+ YOE3+ years private markets experience, strong Python and SQL skills, experience with pandas/NumPy/SciPy, private market systems knowledge, quantitative modeling, communication and multitasking skills.
Senior Analyst, Portfolio Strategy & Management - Liberty Mutual Investments
Boston or New York City
$90k-$180k/yrOnsiteFull Time
Liberty Mutual: Provides diversified property, casualty, and commercial insurance products.
3+ YOE3+ years private markets experience, strong Python and SQL skills, experience with financial time-series data, private market systems, communication and quantitative modeling ability.
Senior Analyst, Portfolio Strategy & Management - Liberty Mutual Investments
Boston or New York
OnsiteFull Time
Liberty Mutual: Provider of global property and casualty insurance products.
3+ YOE3+ years private markets experience, strong Python and SQL skills, experience with pandas/NumPy/SciPy, private market systems knowledge, analytical and communication skills, able to build models and pipelines.
FM Global: Providing commercial property insurance and loss prevention engineering.
1+ YOEBachelor’s in a quantitative field, 1+ years investment experience, proficiency in Python, strong analytical and problem-solving skills, and interest in quantitative finance; Master’s preferred.
Forward Financing: Provides fast, flexible capital to underserved small businesses.
2+ YOE2+ years in analytics or product support, decision engine experience required, strong SQL and Microsoft Excel skills; Python preferred; bachelor’s in quantitative field.
Dana-Farber Cancer Institute: Comprehensive cancer treatment and research center.
Manages complex post-award research portfolios, grants, reporting, compliance, audits, training, and procedures while coaching junior analysts and supporting research administration.
Loomis Sayles: Active asset management firm providing global research-driven portfolio solutions.
4+ YOEBS/MS in a quantitative field; 4+ years fixed income experience focused on portfolio construction, optimization, relative value and risk management; high proficiency in Python, SQL, VBA, and Excel; strong communication and problem-solving skills.