18 portfolio analyst jobs at 15 companies in Carson, CA
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Analyst, Portfolio Compliance
Los Angeles, California, United States
$100k-$115k/yrOnsiteFull Time
DoubleLine Capital: Investment management firm specializing in fixed-income and diverse assets.
3+ YOEBachelor's degree; 3+ years in investment management with trade/portfolio compliance; familiarity with compliance engines (e.g., Bloomberg CMGR); knowledge of Investment Company Act of 1940 and UCITS; Microsoft Office/Excel proficiency with Visual Basic macros.
Bloomberg CMGR, Microsoft Office, Microsoft Excel, Visual Basic
Wilshire: Provides investment advisory and portfolio solutions for institutional investors.
0+ YOEBA/BS in finance/economics preferred; 0–1 years experience in finance/accounting/investments; proficiency in Microsoft Excel; interest in pursuing CFA; strong communication, attention to detail, and teamwork skills.
Franklin TempletonNYSE: BEN: Global investment firm providing asset and wealth management services.
Knowledge of fixed-income securities and securities industry experience; strong attention to detail, research and documentation skills; ability to interpret guidelines and learn compliance systems; undergraduate degree or equivalent experience.
Hudson Pacific PropertiesNYSE: HPP: A real estate that acquires, transforms, builds and operates office and studio properties focused on media and technology markets.
2+ YOEBachelor's in a technical field required; 2+ years in commercial real estate, FP&A, public accounting, or consulting; advanced Excel, PowerPoint, Word; Yardi preferred; strong communication and cross-functional collaboration skills.
Microsoft Excel, Microsoft PowerPoint, Microsoft Word, Yardi
Western Alliance BankNYSE: WAL: National commercial bank providing specialized financial and business solutions.
2+ YOE2+ years portfolio management or related experience, bachelor's degree or equivalent, credit analyst training, knowledge of commercial credit, regulatory compliance, and strong communication skills.
Dimensional Fund Advisors: Provides systematic investment solutions based on financial science.
Bachelor's degree required; comfort with large data sets; knowledge of SQL, VBA, and/or Excel helpful; strong quantitative, analytic, time-management, and communication skills; alignment with firm's investment strategy.
CIM Group: Invests in and operates real estate and infrastructure assets.
1+ YOE1+ years experience in infrastructure, investment banking, or related field; strong Microsoft Office skills (Outlook, Excel, PowerPoint, Word); familiarity with financial statements; ability to travel up to 15%; strong communication, analysis, and AI‑assisted workflow skills.
Microsoft Outlook, Microsoft Excel, Microsoft PowerPoint, Microsoft Word
Ares ManagementNew York Stock Exchange: ARES: Global alternative investment manager specializing in credit and private equity.
1+ YOEBachelor's degree or equivalent,1-2 years CRE or investment experience,strong Excel and PowerPoint skills,Argus preferred,strong analytical and communication skills.
Argus, Microsoft Excel, Microsoft PowerPoint, Microsoft Office
Pacific Life: Provides life insurance, annuities, and investment products for financial security.
8+ YOE8+ years supporting enterprise PPM implementations, writing business requirements, process flows, user stories, test scripts; strong financial acumen and stakeholder facilitation skills.
Planview, OnePlan, Clarity, Microsoft Power BI, Snowflake
Capital Group: Providing active investment management and research-driven financial strategies
Conduct proxy research, make voting recommendations, engage with portfolio companies, produce governance research, partner with investment teams, and communicate insights clearly.
Berkadia: Commercial real estate financing, investment sales, and servicing.
3+ YOEMonitor and analyze loan portfolios, review financial statements, prepare watchlists, communicate with investors/agencies, and produce reports; requires Excel/Word/Access proficiency, McCracken familiarity, bachelor's or equivalent, and 3+ years' experience.
Microsoft Excel, Microsoft Word, Microsoft Access, McCracken
City National BankNYSE: RY: Provider of commercial banking, wealth management, and investment services.
Bachelor's degree in Finance/Business or equivalent, strong analytical and communication skills, interest in credit underwriting, portfolio management, and risk principles.
City National BankNYSE: RY: Provider of commercial banking, wealth management, and investment services.
Bachelor's degree in finance or business, strong analytical and communication skills, desire to learn credit underwriting and portfolio management, ability to interpret complex data.
Los Angeles Branch - Financial Analyst Associate/AVP
Los Angeles, California, United States
$65k-$150k/yrOnsiteFull Time
Bank of ChinaHong Kong Stock Exchange: 3988: Provides global commercial and investment banking services.
3+ YOEBachelor’s degree in Business/Finance/Accounting/Economics; 3+ years credit underwriting/portfolio management for Associate; 5+ years for AVP; strong financial analysis and credit risk skills; proficient with MS Office.
Microsoft Outlook, Microsoft Excel, Microsoft PowerPoint
Sr. Principal Insights Analyst - Central Product Insights
Los Angeles, California, United States
$225k-$338k/yrOnsiteFull Time
Riot Games: Developing and publishing competitive multiplayer video games.
10+ YOEBachelor's in a quantitative field,10+ years analytics experience (3+ in games),expertise with Tableau,SQL,Python/Pyspark,strong communication,mentoring,product and portfolio analytics.
Capital Group: Providing active investment management and research-driven financial strategies
3+ YOEMaster’s degree with 3+ years in risk management or a BA with 5+ years; strong knowledge of investment risk, fixed income, portfolio analytics; Python or R; Excel; Bloomberg; Aladdin a plus.
Lido Advisors: Provides wealth management and financial planning for high-net-worth individuals.
2+ YOEBachelor's in business/finance, CFA, 2 years as a financial analyst; experience with regression modeling, CVaR, sector rotation, GARP and factor-based portfolio construction, and Excel modeling.