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Investment Portfolio Analyst Jobs (NOW HIRING)

Rowe Price's investment portfolios. The portfolio analyst leverages the time of both the portfolio manager and portfolio specialist, and any other senior or lead portfolio analyst that may be on the ...

This role offers broad exposure to the investment lifecycle, including financial analysis, portfolio management, investor reporting, and strategic planning. The ideal candidate is analytical, detail ...

About Invesco As one of the world's leading independent global investment firms, Invesco is ... The Portfolio Analyst is responsible for analyzing portfolio performance, attribution, and risk ...

About Invesco As one of the world's leading independent global investment firms, Invesco is ... The Portfolio Analyst is responsible for analyzing portfolio performance, attribution, and risk ...

The IAM analyst will work with the team to design and implement IAM workflows, software patches, system upgrades and day-to-day administration of the IAM software. Job Responsibilities * Lead and ...

Rowe Price investment strategies and represents those portfolios across the firm. The PA is primarily responsible for analyzing investment portfolios and developing institutional-level portfolio ...

Portfolio Analyst Our client, one of the world's leading investment advisory firms, provides sophisticated investment expertise to a select group of institutional investors and HNW/UHNW families.

Portfolio Analyst Our client, one of the world's leading investment advisory firms, provides sophisticated investment expertise to a select group of institutional investors and HNW/UHNW families.

Portfolio Analyst Our client, one of the world's leading investment advisory firms, provides sophisticated investment expertise to a select group of institutional investors and HNW/UHNW families.

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Investment Portfolio Analyst information

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$38K

$93.2K

$148K

How much do investment portfolio analyst jobs pay per year?

As of Aug 8, 2026, the average yearly pay for investment portfolio analyst in the United States is $93,235.00, according to ZipRecruiter salary data. Most workers in this role earn between $74,500.00 and $108,000.00 per year, depending on experience, location, and employer.

What does an investment portfolio analyst do?

An Investment Portfolio Analyst is responsible for monitoring, analyzing, and managing investment portfolios to maximize returns while minimizing risk. They conduct research on financial markets, assess the performance of various assets, and provide recommendations based on economic trends and client objectives. Their work supports financial decision-making for individuals or institutions, ensuring that investment strategies align with the goals and risk tolerance of stakeholders.

What are the key skills and qualifications needed to thrive as an investment portfolio analyst, and why are they important?

To thrive as an Investment Portfolio Analyst, you need strong analytical abilities, financial modeling skills, and a degree in finance, economics, or a related field. Familiarity with portfolio management software, Bloomberg Terminal, and often a CFA certification are highly valued. Attention to detail, critical thinking, and effective communication are essential soft skills for collaborating with teams and presenting investment recommendations. These skills and qualifications are crucial for making informed investment decisions that optimize portfolio performance and manage risk effectively.

How much does an investment portfolio analyst make?

The average salary for an investment portfolio analyst typically ranges from $60,000 to $100,000 annually, depending on experience, location, and the size of the firm. Entry-level analysts may earn less, while those with advanced certifications or in senior roles can earn higher compensation, often supplemented with bonuses and incentives.

What is the difference between Investment Portfolio Analyst vs Investment Analyst?

AspectInvestment Portfolio AnalystInvestment Analyst
CertificationsChartered Financial Analyst (CFA), Series 7/63Chartered Financial Analyst (CFA), Series 7/63
Work EnvironmentAsset management firms, institutional investorsFinancial advisory firms, investment banks
Primary FocusManaging and optimizing investment portfoliosResearching and recommending individual securities
Employer & Industry UsageUsed in asset management and institutional investingCommon in investment banking and financial advisory

Both roles require similar credentials like the CFA and Series licenses. The Investment Portfolio Analyst focuses on managing entire portfolios, while the Investment Analyst concentrates on analyzing individual securities. Their work environments and employer types often overlap, but their core responsibilities differ in scope and focus.

What are some common challenges faced by investment portfolio analysts, and how can they effectively manage them?

Investment Portfolio Analysts often encounter challenges such as rapidly changing market conditions, balancing risk versus return, and synthesizing large volumes of financial data for insightful recommendations. Staying informed about market trends and utilizing advanced analytical tools can help manage these challenges. Effective communication with portfolio managers and clients is also essential to ensure that strategies align with investment objectives. Time management and prioritization skills are crucial, as analysts frequently juggle multiple projects and deadlines.
More about Investment Portfolio Analyst jobs
What cities are hiring for Investment Portfolio Analyst jobs? Cities with the most Investment Portfolio Analyst job openings:
What are the most commonly searched types of Investment Portfolio Analyst jobs? The most popular types of Investment Portfolio Analyst jobs are:
What states have the most Investment Portfolio Analyst jobs? States with the most job openings for Investment Portfolio Analyst jobs include:
Infographic showing various Investment Portfolio Analyst job openings in the United States as of August 2026, with employment types broken down into 1% Internship, 90% Full Time, 6% Part Time, and 3% Contract. Highlights an 86% Physical, 4% Hybrid, and 10% Remote job distribution, with an average salary of $93,235 per year, or $44.8 per hour.

$68K - $100K/yr

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Posted 18 days ago


Job description

About the Role:

The Investment Portfolio Analyst supports the day-to-day management, analysis, and reporting of the Bank's investment securities portfolio (primarily fixed income securities) under the direction of the Investment Portfolio Manager. The role focuses on security- and portfolio-level analytics, transaction support, performance and risk monitoring, and governance reporting to support the Bank's liquidity, earnings, capital, and interest rate risk objectives within its risk appetite and regulatory requirements. The Analyst partners closely with Treasury, Finance, Risk, Accounting, and Operations to provide accurate data, strong controls, timely reporting, and audit/exam readiness in accordance with the Bank's Investment Policy and internal procedures.

  • Performs security- and portfolio-level analysis to support buy and sell decisions including yield book analysis, unrealized loss analysis, stress and scenario analysis (including interest rate environments), and relative value to ensure alignment to strategy, liquidity, earnings (NII), capital and risk objectives.
  • Prepares trade support materials and coordinates with Treasury and broker-dealers to supportaccuratetrade execution, settlement, and documentationin accordance withinternal controls and delegated authorities.
  • Assistsin monitoring portfolio performance and risk metrics including credit, duration, NII and EVE sensitivity contributions, liquidity and cash flow profiles, unrealized gain/loss trends, and AOCI considerations.
  • Supports Asset Liability Committee (ALCO) and ALCO Investment Sub-Committee processes by preparing reports, dashboards, and analytical exhibits, including limit monitoring and variance analysis.
  • Partners with Finance and Accounting to support investment accounting and reporting activities, including AFS/HTM classifications, reconciliations, and month-end and quarter-end close processes.
  • Supports credit surveillance and counterparty exposure monitoring for the portfolio, coordinating with Credit and Risk teams on watch lists, downgrades, and remediation actions
  • Assiststhe Investment Portfolio Manager with monitoring external investment managers, advisors, andbroker dealers through performance reporting and due diligence documentation.
  • Supports regulatory exams and internal and external audits through data gathering, documentation, andtimelyresponse to information requests.
  • Contributes to process improvement and automation initiatives related to investment analytics, reporting, data quality, and controls.
  • Demonstrates compliance with all bank regulations for assigned job function and applies to designated job responsibilities - knowledge may be gained through coursework and on-the-job training. Keeps up to date on regulation changes.
  • Follows all Bank policies and procedures, compliance regulations, and completes all required annual or job-specific training.
  • Maintain a working knowledge of Bank's written policies and procedures regarding applicable Bank regulations.
  • May be asked to coach, mentor, or train others and teach coursework as subject matter expert.
  • Actively learns, demonstrates, and fosters the Columbia corporate culture in all actions and words.
  • Takes personal initiative and is a positive example for others to emulate.
  • Embraces our vision to become "Business Bank of Choice"
  • May perform other duties as assigned.


About You:

  • Bachelor's Degree or advanced degree or relevant experience in Accounting, Business Administration, Finance, Economics, or related field (required)
  • 2 years - Experience in bank treasury / investment securities portfolio management, fixed income analytics, and/or balance sheet management (e.g., AFS/HTM portfolios, liquidity and interest rate risk impacts, and governance support). (Required)
  • Working knowledge of fixed income instruments commonly held by banks, including U.S. Treasuries, Agencies, Agency MBS/CMO, municipal securities, investment-grade corporates, and money market instruments.
  • Strong analytical skills.
  • Familiarity with bank regulatory and accounting concepts related to securities portfolios, including AFS/HTM classifications and unrealized and realized gains and losses.
  • Strong attention to detail and able to operate within a regulated environment.
  • Advanced Excel skills and familiarity with investment analytics and treasury systems (examples may include Bloomberg or Yield Book).
  • Strong written and verbal communication skills.
  • Ability to collaborate effectively across Treasury, Finance, Risk, Accounting, and Operations.
  • Occasional travel


The pay range for this role is $68,000.00 to $100,000.00.

The pay rate for the selected candidate is dependent upon a variety of non-discriminatory factors including, but not limited to, job-related knowledge, skills, and experience, education, and geographic location. The role may be eligible for performance-based incentive compensation, and those details will be provided during the recruitment process.

Primary Location: Ability to work fully onsite at posted location(s).

2155 W Pinnacle Peak Rd Phoenix AZ 85027

Our Benefits:


We are proud to offer a competitive total rewards package including base wages and comprehensive benefits.

We offer eligible associates comprehensive healthcare coverage (medical, dental, and vision plans), a 401(k)-retirement savings plan with employer match for qualifying associate contributions, an employee assistance program, life insurance, disability insurance, tuition assistance, mental health resources, identity theft protection, legal support, auto and home insurance, pet insurance, access to an online discount marketplace, and paid vacation, sick days, volunteer days, and holidays. Benefit eligibility begins the first day of the month following the date of hire for associates who are regularly scheduled to work at least thirty hours weekly.


Our Commitment to Diversity:


Columbia Bank is an equal opportunity and affirmative action employer committed to employing, engaging, and developing a diverse workforce. All qualified applicants will receive consideration for employment without regard to race, color, national origin, religion, sex, age, sexual orientation, gender identity, gender expression, protected veteran status, disability, or any other applicable protected status or characteristics. If you require an accommodation to complete the application or interview(s), please let us know by email: careers@columbiabank.com.


To Staffing and Recruiting Agencies:


Our posted job opportunities are only intended for individuals seeking employment at Columbia Bank. Columbia Bank does not accept unsolicited resumes or applications from agencies and Columbia Bank will not be responsible for any fees related to unsolicited resume submissions. Staffing and recruiting agencies are not authorized to submit profiles, applications, or resumes to this site or to any Columbia Bank employee and any such submissions will be considered unsolicited unless requested directly by a member of the Talent Acquisition team.