Key Responsibilities- Partner closely with the CIO to support investment decision-making, portfolio reviews, and strategic priorities across multiple asset classes and strategies.
- Aggregate, analyze, and synthesize information from portfolio managers, research teams, risk functions, counterparties, and market sources into concise, actionable insights.
- Support the CIO in evaluating portfolio positioning, capital allocation, thematic exposures, liquidity considerations, and risk-adjusted opportunities.
- Conduct independent research and analysis on market developments, macroeconomic trends, industries, and investment opportunities relevant to the platform.
- Prepare decision-oriented materials and analyses for investment committees, portfolio reviews, and senior leadership discussions.
- Identify cross-strategy observations, portfolio implications, and risk considerations that may not be readily visible at the individual manager level.
- Help the CIO prioritize key investment issues by filtering large volumes of information and highlighting the developments most relevant to portfolio performance and risk.
- Serve as a thought partner to portfolio managers and investment teams by providing analytical support, challenge, and alternative perspectives.
- Coordinate efforts across investment, risk, analytics, and operations teams to support informed decision-making.
- Drive special projects focused on portfolio analytics, market intelligence, investment process enhancements, and strategic initiatives.
- Act as a central coordination point across investment, risk, operations, and executive leadership functions to facilitate timely communication and execution.
- Serve as a proxy for the CIO in selected internal and external meetings when appropriate.
Qualifications- 7+ years of experience in investment management, hedge funds, asset management, investment banking, or related financial markets roles.
- Strong understanding of multi-strategy investing, including exposure to equities, credit, macro, relative value, and/or quantitative strategies.
- Proven experience synthesizing large volumes of qualitative and quantitative information into concise, actionable conclusions.
- Exceptional analytical, communication, and interpersonal skills, capable of engaging effectively with senior investment professionals.
- Proven experience operating in a high-performance environment with sound judgment, discretion, and attention to detail.
- Strong project management and organizational capabilities, with a track record of driving execution across complex initiatives.
- High intellectual curiosity, commercial orientation, capable of maintaining perspective amid rapidly changing market conditions.
- Advanced degree and/or CFA preferred.
The duties and responsibilities described here are not exhaustive and additional assignments, duties, or responsibilities may be required of this position. Assignments, duties, and responsibilities may be changed at any time, with or without notice, by Blackstone in its sole discretion.
Expected annual base salary range:$225,000 - $250,000
Actual base salary within that range will be determined by several components including but not limited to the individual's experience, skills, qualifications and job location. For roles located outside of the US, please disregard the posted salary bands as these roles will follow a separate compensation process based on local market comparables.
Additional compensation and benefits offered in connection with the role consist of comprehensive health benefits, including but not limited to medical, dental, vision, and FSA benefits; paid time off; life insurance; 401(k) plan; and discretionary bonuses. Certain employees may also be eligible for equity and other incentive compensation at Blackstone's sole discretion.