Senior Public Markets Investment Analyst (Flexible Work)

Indiana Public Retirement System

Indianapolis (IN)

Hybrid

USD 90,000 - 140,000

Full time

14 days+
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Benefits offered by this job

Health savings account with employer
Prescription coverage
Employer funded retirement plan
Deferred compensation plan
Flexible spending account
Paid holidays
Parking

Job summary

Indiana Public Retirement System in Indianapolis seeks a Senior Investment Analyst to join the Public Markets team and manage investments across asset classes, including public equity and fixed income. You will evaluate funds, monitor managers, develop quantitative models, and ensure policy-compliant allocations.

Ideal candidates have 4+ years in investments, a bachelor’s degree, and pursuing advanced designations (MBA/CFA/CAIA).

Qualifications

  • Bachelor’s degree from an accredited four-year college or university.
  • Pursuing MBA, CFA, or CAIA is a plus.
  • 4+ years of relevant work experience in investments or portfolio management.
  • Strong understanding of investment concepts and risk factors.
  • Excellent data analysis, reporting, and presentation skills.

Responsibilities

  • Conduct analyses and evaluations and participate in due diligence processes pertaining to potential fund investments.
  • Monitor investment managers and investments.
  • Lead the creation, development, and refinement of quantitative models.
  • Ensure asset allocation actions align with investment policies and contracts.
  • Proactively monitor asset class portfolios and prepare risk and performance reports.
  • Collaborate with INPRS' Investments Team on strategic projects.
  • Travel for due diligence on managers as needed.

Skills

Investment concepts
Data analysis
Portfolio monitoring
Due diligence
Communication

Education

Bachelor's degree
MBA/CFA/CAIA pursuing

Tools

Excel
PowerPoint

Job description

Indiana Public Retirement System in Indianapolis seeks a Senior Investment Analyst to join the Public Markets team and manage investments across asset classes, including public equity and fixed income. You will evaluate funds, monitor managers, develop quantitative models, and ensure policy-compliant allocations.

Ideal candidates have 4+ years in investments, a bachelor’s degree, and pursuing advanced designations (MBA/CFA/CAIA).

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