We have a current opportunity for a Manager of Fund and Portfolio Analytics. The position will be hybrid based in Boston with a leading $30B+ credit focused asset manager. This is an urgent search so for more information please apply today!
Responsibilities:
- Collaborate with senior management to define strategic goals and translate them into actionable analytical plans.
- Analyze complex financial data to identify trends, risks, and opportunities, driving informed decision-making processes.
- Oversee the design and implementation of financial models within the Anaplan platform.
- Contribute to the development of RFP/DDQs.
- Conduct fund and investment level performance reports.
Qualifications:
- 4-10 years in financial analytics, fund management, or portfolio analysis.
- Strong expertise in using Anaplan software to develop and maintain sophisticated financial models.
- Proficiency in programming languages such as Python, R, or SQL.
- A solid understanding of credit financial markets and investment strategies.
- Exceptional leadership and communication skills.
- A track record of driving data-driven insights to support strategic decision-making.
