
Fixed Income Portfolio Analyst | Asset Management | NYC | Hybrid
Atlantic Group, New York, New York, us, 10261
Fixed Income Portfolio Analyst
Location:
Midtown NYC (hybrid)
A well-established investment manager is seeking a Fixed Income Portfolio Analyst to support its portfolio management team. This role offers broad exposure to the fixed income investment process and the opportunity to work closely with portfolio managers and traders in a collaborative, low-turnover environment.
Responsibilities
Monitoring portfolios and ensuring alignment with investment guidelines and client objectives
Managing cash flows, rebalancing needs, and trade support activities
Preparing client and internal reporting materials and performance commentary
Conducting research and risk analysis on existing holdings and potential investments
Partnering with trading, operations, and client service teams to resolve issues and support daily workflows
Enhancing reporting and portfolio monitoring tools through technology and process improvements
Ideal background 1–3 years of experience supporting fixed income portfolios, P&L, or market risk within a bank or asset manager, with strong Excel and systems proficiency and a keen interest in financial markets.
This is a strong entry point into a growing firm with meaningful career mobility across research, trading, and portfolio management.
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Midtown NYC (hybrid)
A well-established investment manager is seeking a Fixed Income Portfolio Analyst to support its portfolio management team. This role offers broad exposure to the fixed income investment process and the opportunity to work closely with portfolio managers and traders in a collaborative, low-turnover environment.
Responsibilities
Monitoring portfolios and ensuring alignment with investment guidelines and client objectives
Managing cash flows, rebalancing needs, and trade support activities
Preparing client and internal reporting materials and performance commentary
Conducting research and risk analysis on existing holdings and potential investments
Partnering with trading, operations, and client service teams to resolve issues and support daily workflows
Enhancing reporting and portfolio monitoring tools through technology and process improvements
Ideal background 1–3 years of experience supporting fixed income portfolios, P&L, or market risk within a bank or asset manager, with strong Excel and systems proficiency and a keen interest in financial markets.
This is a strong entry point into a growing firm with meaningful career mobility across research, trading, and portfolio management.
#J-18808-Ljbffr