Portfolio Analyst Jobs in Hoboken, New Jersey

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22 Hoboken, NJ Portfolio Analyst jobs found on Monster.

Jobs 1 to 20 of 22
MetLife, a leading provider of insurance and other financial services to individual and institutional customers, is seeking a Portfolio Analyst in New York, NY! Beyond meaningful and challenging work, MetLife provides a variety of flexible work arrangements, as well as a tuition reimbursement program, competitive benefits, and retirement and pension plans. MetLife’s responsiveness to the needs of...
Join a winning team! Signature Bank ranked second on Forbes 2014 list of Best Banks in America and has been on their top ten list for four consecutive years! Signature Bank, member FDIC, is a New York-based full-service commercial bank with private client offices throughout the New York metropolitan area. The Bank’s growing network of private client banking teams serves the needs of privately own...
The Bank of New York Mellon New York, NY, 10007
Portfolio Analyst (Job Number: 1406825) 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 ma...
Manager, Commercial & Industrial Portfolio Analyst Level: Manager Capital One, a Fortune 500 company and one of the nation’s top 10 banks, offers a broad spectrum of financial products and services to consumers, small businesses and commercial clients. Our mission is to create one of the nation’s great banks, and we have the necessary ingredients: a strong balance sheet, resilient businesses, a ...
Morgan Stanley New York, NY, 10007
Summary: The Global Portfolio, Analysis and Reporting (GPAR) Team is seeking a highly motivated individual to join our New York team to support on-going portfolio analysis. This individual will be responsible for providing both standard and ad hoc reporting and analytics to colleagues throughout Investment Management. Analysis will focus primarily on portfolio attribution, composite construction ...
Citigroup Inc. New York, NY, 10007
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 additional resp...
Bright Horizons L.P New York, NY
Vice President – Investment Portfolio Analyst Job Number: : 3033620 Posting Date : Sep 2, 2014 Primary Location : Americas-United States of America-New York-New York Education Level : Bachelor's Degree Job : Portfolio Analysis Employment Type : Full Time Job Level : Vice President Description Summary: The Global Portfolio, Analysis and Reporting (GPAR) Team is seeking a highly motivated ...
The Bank of New York Mellon Corporation New York, NY
Portfolio Analyst ( Job Number: 1406825 ) 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 ...
BNY MELLON New York, NY
Portfolio Analyst (Job Number: 1406825) 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 ma...
CitiCorp Credit Services Inc. New York, NY
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...
Description14053349 Qualifications 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...
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 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 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 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 • 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...
Next Step Systems New York, NY
Portfolio Analyst/Asset Management Ready to hire! Hiring several in this role. Fantastic opportunity with a very successful company with cutting-edge technology and a staff consisting of many of the brightest technical talent in the world. Will relocate the right candidate. Will sponsor visa's. Bachelor's and/or Master's degree from a top computer science, quantitative or mathematics program wi...
Next Step Systems New York, NY
Next Step Systems New York Portfolio Analyst/Asset Management Ready to hire! Hiring several in this role. Fantastic opportunity with a very successful company with cutting-edge technology and a staff consisting of many of the brightest technical talent in the world. Will relocate the right candidate. Will sponsor visa's. Bachelor's and/or Master's degree from a top computer science, quantitat...
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...
Bank of America Corporation New York, NY, 10007
The Structured Notes Central Funding Desk (“CFD”) is a part of Counterparty Portfolio Management in Global Markets. The CFD has been mandated to centralize ownership and management of the risk and funding from the structured notes issued by the company. The structured notes are denominated in various currencies, issued with a broad range of tenors, and contain derivative-like payoff profiles. The ...

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Finance Career Tools

Portfolio Manager

Salaries

$54,000.00 - $270,000.00
Typical Salary for Portfolio Manager in Hoboken
(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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