Index Portfolio Management Analyst (Finance)
Мэтч & Сопровод
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Описание вакансии
TL;DR
Index Portfolio Management Analyst (Finance): Supporting the execution of index models and portfolio allocation with an accent on financial data accuracy and methodology adherence. Focus on performing independent model validation, maintaining process documentation, and collaborating on infrastructure enhancements.
Location: Must be based in Philadelphia, PA (Hybrid: 3 days/week in-office).
Company
is a global technology company serving the capital markets and other industries with diverse financial products and services.
What you will do
- Execute periodic index reconstitution and rebalance models using established workflows.
- Perform independent review and validation of model outputs and underlying data sets.
- Maintain and update process documentation for data sources and indexes.
- Collaborate with internal and external partners to communicate findings.
- Contribute ideas for continuous improvement of workflows and infrastructure.
Requirements
- Must be based in or able to work from Philadelphia, PA.
- Degree in Finance, Economics, Statistics, Mathematics, or Computer Science.
- 0–3 years of relevant experience.
- Technical proficiency in R, Databricks, and SQL.
- Strong analytical and quantitative skills.
Culture & Benefits
- 401(k) program with 6% employer match.
- Comprehensive medical, dental, and vision coverage.
- Student loan repayment program up to $10k.
- Employee Stock Purchase Program with 15% discount.
- Hybrid work schedule and generous paid time off.
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