Portfolio Management Analyst

Quantinno Capital Management LP

$125K — $175K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's or master's degree in finance, economics, mathematics, or a related field
  • 2-4 years of relevant experience in a quantitative or technical environment
  • Strong quantitative and analytical skills with expertise in mathematics, statistics, and linear algebra
  • Proficient coding skills, particularly in Python
  • Exceptional attention to detail with a strong sense of ownership
  • Ability to thrive in a fast-paced setting and manage multiple tasks
  • Familiarity with portfolio concepts such as rebalancing and trading mechanics is a plus

Responsibilities

  • Assist senior team members in executing investment decisions
  • Prepare and review trading plans to ensure accuracy and alignment with objectives
  • Support process improvements and automation initiatives to enhance operational efficiency
  • Collaborate with internal teams to ensure a high-quality client experience
  • Engage in communication with clients and stakeholders regarding portfolio performance

Benefits

  • Health, dental, and vision insurance
  • Paid Time Off
  • 401(k) plan
  • Discretionary bonus eligibility
  • Hybrid work model with a flexible schedule
Full Job Description
Position Overview:

Quantinno is seeking a highly motivated and detail-oriented Portfolio Management Analyst to join our fast-growing firm. The Portfolio Management team is responsible for executing investment decisions and ensuring portfolios are aligned with client objectives. This role is ideal for someone with strong quantitative instincts who thrives in a lean, fast-paced, high-ownership, and highly technical investment setting. The Analyst will work closely with senior team members to help prepare and review trades and support communication with clients and internal stakeholders
  • Assist senior team members in implementing investment decisions
  • Prepare trading plans and support trade review to ensure accuracy, completeness, and alignment with investment objectives
  • Support operational excellence by contributing to process improvements and automation initiatives
  • Partner with internal teams (e.g., Operations and Investor Relations) to support a high-quality client experience

Qualifications:
  • Bachelor's or master's degree in finance, economics, mathematics, or a related field
  • 2-4 years of relevant experience working in a similar quantitative or technical environment
  • Strong quantitative and analytical skills with demonstrated understanding of mathematics, statistics, and linear algebra
  • Excellent coding skills with hands-on experience in Python
  • Excellent attention to detail and a strong sense of ownership and accountability
  • Ability to work effectively in a fast-paced environment while managing multiple priorities
  • Familiarity with portfolio concepts (e.g., rebalancing, risk, exposures, and trading mechanics) is a plus


The salary range for this role will be between $125,000 and $175,000 per year. This role may also be eligible for other forms of compensation and benefits, such as a discretionary bonus, health/dental/vision insurance, Paid Time Off, 401(k) and other benefits eligible to employees. Actual compensation for successful candidates will be carefully determined based on a number of factors, including their skills, qualifications and experience. This position follows a 4:1 hybrid work model, out of our New York City office.

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