96 portfolio analyst jobs at 59 companies in Hackensack, NJ
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Portfolio Strategy Analyst
New York City, New York, United States
$89k-$106k/yrOnsiteFull Time
TIAA: Financial services organization providing retirement, asset management, and investments.
0+ YOECandidates must have completed the Nuveen Portfolio Solutions Group 2026 Summer Internship and received a full-time offer. A university degree is preferred; analytical, investment, communication, programming, and portfolio modeling skills are relevant.
Fiera CapitalToronto Stock Exchange: FSZ: Provides multi-asset investment solutions to global clients.
Bachelor's degree preferred; strong Excel/Word/PowerPoint skills; basic bond knowledge; teamwork, accuracy in fast-paced environments; Python/SQL/AI and Charles River/Perform/Advent/Bloomberg knowledge a plus.
Microsoft Excel, Microsoft Word, Microsoft PowerPoint, Charles River, Perform, Advent, Bloomberg, Python, SQL, artificial intelligence
LazardNYSE: LAZ: Global financial advisory and asset management firm.
1+ YOERequires 1–3 years supporting investment teams, financial markets knowledge, advanced PowerPoint and Excel, analytical and communication skills, and project management ability. Emerging markets, FactSet, CFA, Python, VBA, and SQL are pluses.
Microsoft PowerPoint, Microsoft Excel, FactSet, Python, VBA, SQL
BNYNYSE: BK: Global institution managing and servicing financial assets worldwide.
3+ YOEBachelor's degree or equivalent education and experience; MBA or CFA preferred. Requires 3–5 years of financial or investment experience, portfolio analysis, reporting, and collaboration with portfolio managers.
JLLNYSE: JLL: Global commercial real estate and investment management services.
2+ YOEBachelor's degree required, 2+ years in portfolio analysis/BI/data analytics; experience with Power BI, Tableau, SQL Server and Microsoft Excel; strong analytical, financial and communication skills. Master's preferred.
Power BI, Tableau, Microsoft Excel, Microsoft PowerPoint, Microsoft Word, Microsoft Access, SQL Server, Report Builder, CMMS, Python, Microsoft Power Platform, Smart Sheet
Two Sigma: Systematic investment management and quantitative trading firm.
3+ YOEBachelor's degree required; 3-7 years experience in securities lending, prime brokerage, repo, equity swap or portfolio financing; understanding of financing structures; familiarity with Python or SQL preferred; strong analytical and communication skills.
EquitableNYSE: EQH: Provides financial protection, retirement, and investment management services.
5+ YOEBachelor's degree and 5 years of portfolio compliance experience required, with knowledge of 1940 Acts, fund compliance, regulatory filings, post-trade monitoring, and investment fund governance.
Range: AI-powered platform for wealth management and financial planning.
5+ YOEResponsible for executing daily trading, managing rebalancing and tax-aware trades, monitoring accounts, and building scalable trading infrastructure; 5+ years trading or portfolio operations experience preferred.
5+ YOEBachelor's in Finance/Business or equivalent experience,5+ years workout or credit experience,ability to analyze financial statements,negotiate restructurings,manage problem loan portfolios,and work with legal counsel on recovery processes.
Graham Capital Management: Manages alternative investment funds using quantitative and discretionary macro strategies.
2+ YOEBachelor’s degree in a quantitative field; 2–5 years in energy equities; proficient in Python, VBA, Bloomberg; Excel data handling; front-office modeling; strong analytical skills.
Aksia: Alternative investment solutions for global institutional investors.
2+ YOE2–8 years in private markets or related analytical roles; strong quantitative, data management, and project management skills; attention to detail and interest in private credit.
$300k-$400k/yrHybridMultiple Commitments Available
Harding Loevner: Manages global equity portfolios for institutional and individual clients.
10+ YOE10+ years equity investing (international large-cap), durable-growth framework, fundamental analysis, track record of managing portfolios, strong communication, CFA or advanced degree preferred.
Financial Modeling, Valuation, Fundamental Analysis, Portfolio Management
AQR Capital Management: Quantitative investment firm managing traditional and alternative strategies.
0+ YOEBachelor's degree, 0-2 years industry experience, strong quantitative and communication skills, proficiency in Python/MATLAB/R and SQL, experience with portfolio construction, optimization, and analytics.
Point72: Global alternative investment firm managing capital and venture investments.
Internship or project experience in quantitative research or portfolio management; degree in finance or STEM; Python proficiency; statistical models and quantitative finance methods; strong communication and analytical skills.
Bounce AI: AI-powered debt recovery software for consumers and creditors.
4+ YOE4+ years credit/portfolio analytics or related experience, Bachelor’s in a quantitative field, strong SQL and advanced Excel, financial modeling (IRR/MOIC/NPV), and credit fundamentals knowledge.
Webster FinancialNYSE: WBS: Provides regional commercial and consumer banking and financial services.
2+ YOEHigh school diploma, 2+ years of experience, Microsoft Excel proficiency, strong writing and communication skills, independence, interpersonal, organizational, and teamwork abilities.
5+ YOEUndergraduate degree, 5+ years financial services experience, strong writing and communication, investment and market knowledge, proficiency with Bloomberg, Microsoft Office and Morningstar.
Valuation Research Corporation: Provides independent valuation and financial advisory services globally.
0+ YOE0–2 years constructing and reviewing valuation or financial models; bachelor's or master's in finance, accounting, or economics; advanced Excel and Word; strong communication, analytical, prioritization, and teamwork skills; U.S. work authorization.
Man GroupLondon Stock Exchange: EMG: Global alternative investment management and systematic trading services.
Finance or accounting background with strong financial statement analysis, valuation and reporting skills; fluent Excel; experience in private credit/direct lending is a plus.