Entry-Level Fixed Income Investment Operations Analyst

Daley And Associates, LLC

Boston (MA)

On-site

USD 26,000 - 28,000

Full time

6 days ago
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Job summary

Daley And Associates, LLC in Boston, MA is seeking an Investment Operations Analyst. This entry-level contract-to-hire role offers hands-on back-middle office experience within a top investment management firm.

The position pays $19–$20/hour and opens a path to permanent employment after the contract period. Responsibilities include reconciling asset reports, processing reconciliations, monitoring cash flows, and using Bloomberg for research and issue resolution.

Qualifications

  • Bachelor's degree in Finance or Economics is required.
  • GPA above 3.0 is required.
  • 0-1 years of experience, including internships.
  • Strong Microsoft Excel skills (V-Lookups, Pivot-Tables) required.
  • Ability to work well in a team and also independently.
  • Demonstrated interest in investment operations.
  • Excellent written and verbal communication and interpersonal skills.
  • Detail-oriented, highly organized, and eager to learn.

Responsibilities

  • Analyze monthly fixed income portfolio asset reports for client accounts.
  • Submit daily/monthly asset and cash reconciliations for custodian banks.
  • Monitor cash flows, daily expenses, collateral holdings and income receivables.
  • Research and report variances and incorrect holdings; liaise with banks as needed.
  • Use Bloomberg to research portfolio discrepancies between the firm and the Bank.
  • Provide additional support as needed.

Skills

Microsoft Excel
Attention to detail
Communication skills
Team collaboration
Analytical thinking

Education

Bachelor's degree in Finance or Economics

Tools

Bloomberg

Job description

Daley And Associates, LLC in Boston, MA is seeking an Investment Operations Analyst. This entry-level contract-to-hire role offers hands-on back-middle office experience within a top investment management firm.

The position pays $19–$20/hour and opens a path to permanent employment after the contract period. Responsibilities include reconciling asset reports, processing reconciliations, monitoring cash flows, and using Bloomberg for research and issue resolution.

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