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The Analyst joins VanEck's Multi-Asset Solutions Group in an operational support capacity. The ... Implementation and operational support, including model dissemination, trade verification, cash ...

Multi-asset risk management - strong background across delta, gamma, vega, correlation, liquidity ... new trading desks, and a track record of operating effectively across desks and functions is ...

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As of Jul 14, 2026, the average hourly pay for freelance multi asset trader in the United States is $47.71, according to ZipRecruiter salary data. Most workers in this role earn between $24.28 and $61.78 per hour, depending on experience, location, and employer.
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Infographic showing various Freelance Multi Asset Trader job openings in the United States as of July 2026, with employment types broken down into 84% Full Time, 14% Part Time, and 2% Contract. Highlights an 93% Physical, 3% Hybrid, and 4% Remote job distribution, with an average salary of $99,230 per year, or $47.7 per hour.
Multi-Asset Trade Operations Senior Analyst

Multi-Asset Trade Operations Senior Analyst

Teacher Retirement System of Texas

Austin, TX

Other

Posted 19 days ago


Job description

The Multi-Asset Trade Operations Senior Analyst performs complex investment-related financial work. The incumbent will process [securities] trades after execution, and ensure settlement; analyze, research, and reconcile investment data; process  and monitor corporate actions; and prepare reports. This position will proactively work with the Multi-Asset Trade Operations Team, Investment Operations team, IMD staff, and TRS employees. This position reports to the Manager, Multi-Asset Trade Operations.
WHAT YOU WILL DO:
Trade Processing and Trade Settlement
Processes [post-execution] securities trades on trade date by analyzing trade details and communicating with internal Traders and executing brokers, as needed.
Monitors trades to ensure timely settlement.
Analyzes and communicates detailed trade data, and acts as liaison between Custodian and executing brokers, exchanging data and information in order to settle trades.
Documents research requests pertaining to trade issues, whether to the Custodian or the executing broker.
Reports trade issues to team, Trading, Custodian.

Reconciliation Research and Analysis
Reconciles holdings data between TRS and the Custodian on a daily basis with accounting, custodian, and investment systems.
Assists with researching the causes of discrepancies, by analyzing trades, corporate actions, and other issues that affect portfolio positions.
Documents and submits research requests to the Custodian.
Monitors discrepancies to ensure resolution.
Prepares detailed reconciliation reports.
Corporate Actions
Processes mandatory and voluntary corporate action events affecting internally-managed funds at TRS.
Provides information to TRS Internal Portfolio Managers to enable them to make decisions regarding voluntary actions.
Based on elections to voluntary actions, monitors the Custodian for accurate and timely execution.
Ensures Order Management System (OMS) is reflecting current, tradeable, positions.
Reporting
Prepares detailed reports with exhibits showing failing and settled trades; reconciliations.
Assists with compiling data and prepares detailed reports on trade data, reconciliations and corporate actions using database downloads, spreadsheets, and other software, for use by agency management, Investment Division staff, and TRS Internal Audit.
Monitors data feeds and takes appropriate corrective action to ensure accurate data flow between systems.