Portfolio Analyst Jobs in Connecticut

Currently, there are no Portfolio Analyst jobs available in Connecticut which match this search. You may wish to explore similar job titles on the Finance jobs in Connecticut page or view related jobs below.
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Fixed Income Portfolio Analyst – Strong Salary + Bonus Seeking a candidate with a strong fixed income background as well as some trading experience who is looking for a Portfolio Analyst role. The Asset Allocation Strategies group of a Boston investment firm is seeking a Portfolio Analyst to ensure investment strategies are executed timely and accurately. Will monitor cash flows, benchmarks and m...
To apply to this position you must email your resume directly to ***** In the subject line of your email type "senior portfolio analyst/accountant" Our client is seeking a senior portfolio accountant/analyst. This is an exciting opportunity for someone out of public accounting to step into an analytical role where the responsibilities include the preparation of valuation mo...
This is a full time position available in Dearborn, MI. Responsibilities: Analyzes the liability streams of our companies and assists with the asset allocation decisions directed toward each company. Plans the utilization of cash flows on both a long and short-term basis. Forecasts investment income, and determine the attribution of monthly variances between actual and budgeted income. Assists w...
Company Description AXA Equitable is a leading financial protection company, committed to fostering and maintaining a diverse, multicultural and inclusive environment, and one of the nation's premier providers of life insurance and annuity products. The organization was established in 1859 and we are committed now more than ever to helping clients meet financial goals in all stages of their lives...
Financial: Fixed Income Portfolio Analyst sought by AXA Equitable Life Insurance Co. for its New York, NY ofc.: Conduct financial analysis & portfolio modeling to meet portfolio mgt objectives by assisting w/monitoring, measuring & controlling risk in fixed income portfolio. Assist in setting & implementing investment strategy, policies & procedures, incl developing portfolio mgt strategies utili...
REAL ESTATE PORTFOLIO ANALYST Company Profile Onward Investors is a highly specialized team of commercial real estate professionals focused on identifying and purchasing assets from distressed sellers and out of distressed situations. We then work to create optimal value in those assets. We are especially well suited to creating value in situations requiring construction and development expertis...
Support the Portfolio Management team in essential portfolio management duties such as analytical, credit research and value added recommendations, including the Bloomberg AIM and Barclays Point analytical systems. Analyze investment opportunities and make recommendations on corporate bonds and various other securities for portfolio inclusion. Provide fundamental research analysis on investment g...
Assistant Vice President, Portfolio Analyst w/ Voya Inv Mgmt in Atlanta, GA. Resp for managing ins client's general account IG credit assets in a multi-strategy total return framework. Work w/ ins client asset allocation team as well as institutional credit team. Manage sig amt of moderately complex FI assets. Req's Master's Deg in Fin, Mgmt or Acct & min 3 yrs analyst lev exp managing IG credit p...
Xcel Energy is seeking a Renewable Portfolio Analyst for its Downtown Denver, CO location. In this role, the successful candidate will work across cross-functional teams as well as systems in order to maintain accurate data. This data is used in regulatory filings, rate cases, reporting and internal analysis. A bachelor's degree and 1 years of experience required along with proficiency in Microsof...
Description To perform financial spreading and generate accurate credit ratings To complete timely and quality reviews of small exposure names unsupervised and undertake reviews of large exposure names with some supervision To ensure that key and relevant risks, as well as material changes relevant to the credit risk of the account, are addressed To conduct peer analysis, identify industry tre...
Description Principal Responsibilities: To review financial results and statements to perform financial spreading To understand proprietary internal debt rating models, methodologies and risk rating drivers Generate risk ratings for local customers from the participant countries To conduct industry research by gathering and collating information from internal and external sources relevant to ...
Description KEY ACCOUNTABILITIES Responsible for industry analysis and developing domain expertise for focus industry segments including the preparation of industry studies Establish and maintain consistent standards and processes in credit analysis through interaction with industry specialists and analysts globally Take responsibility for the analysis of individual credits and end-to-end resp...
Description • To perform financial spreading and generate accurate credit ratings. • To complete timely and quality reviews of small exposure names, unsupervised, and undertake reviews of large exposure names with some supervision. • To ensure that key and relevant risks, as well as material changes relevant to the credit risk of the account, are addressed; • To conduct peer analysis; identify in...
Description Credit analysis of ICG clients within diversified industrial segments. Main tasks include risk assessment, credit analysis, reviewing financial results, peer analysis and preparing financial projections. Member of deal teams for credit related transactions. Main tasks include preparation of greenlight and transaction approval memos, conducting due diligence, building cash flow models...
Description • Responsable de los financials del segmento Citigold. Para lo cual será necesario el correcto entendimiento de cada una de las líneas de revenues y expenses. • Diseñar, coordinar e implementar la estrategia de Portfolio Management del segmento Citigold con el objetivo de incrementar la rentabilidad del mismo. • Responsable de la coordinación y elaboración de los reportes de seguimien...
Description Job Description The CTI Product Analysis – Investment Portfolio Analyst in Corporate Treasury is a key member of the Treasury Finance team who will be responsible for supporting the day-to-day business functions for the CTI Investment portfolio across the Rates, FX and Credit portfolios. The role requires ongoing monitoring all investments including securities and derivatives with ad...
Description Banking Book Portfolio Management (“BBPM”) is a specialized risk portfolio group that seeks to apply portfolio management techniques on a macro basis for the $1.2 trillion Banking Book portfolio, which represents all of the credit risk for Citi globally. BBPM, which reports into the ICG Chief Credit Officer, is concentrating on a number of key initiatives to enhance Citi’s risk manage...
The Bank of New York Mellon Corporation Boston, MA
Portfolio Analyst - Standish ( Job Number: 1411531 ) BNY Mellon is a global investments company dedicated to helping its clients manage and service their financial assets throughout the investment lifecycle. Whether providing financial services for institutions, corporations or individual investors, BNY Mellon delivers informed investment management and investment services in 35 countries and mor...
The Bank of New York Mellon Corporation Pittsburgh, PA
Portfolio Analyst ( Job Number: 1411092 ) BNY Mellon is a global investments company dedicated to helping its clients manage and service their financial assets throughout the investment lifecycle. Whether providing financial services for institutions, corporations or individual investors, BNY Mellon delivers informed investment management and investment services in 35 countries and more than 100 ...
annapurnahr San Francisco, CA
The Change Analyst plays a pivotal role in ensuring that the E&P business has a balanced agenda of strategic change initiatives and that these initiatives are delivering the desired outcomes. They also provide assurance that the business has the capability and capacity to receive the strategic change agenda. He/she will assess and support the Portfolio Manager in the prioritization of initiatives...

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Finance Career Tools

Portfolio Manager

Salaries

$54,000.00 - $270,000.00
Typical Salary for Portfolio Manager in Connecticut
(174 Respondents)
Source: Monster.com Careerbenchmarking Tool

Education / Training

Bachelor's
49.1%
Master's
29.1%
Some College Coursework Completed
5.5%
High School
4.5%
Associates
3.6%
Doctorate
3.6%
Professional
2.7%
(110 Respondents)
Source: Monster.com Careerbenchmarking Tool

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