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Portfolio Finance Jobs (NOW HIRING)

Barings Portfolio Finance Location: Boston, MA Barings is a leading global financial services firm dedicated to meeting the evolving investment and capital needs of our clients and customers. Through ...

Barings Portfolio Finance Location: Boston, MA Barings is a leading global financial services firm dedicated to meeting the evolving investment and capital needs of our clients and customers. Through ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

This role provides the governance discipline, financial transparency, execution visibility, portfolio analytics, enterprise reporting, and leadership insights needed to manage a multidimensional ...

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Portfolio Finance information

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$43.5K

$87.7K

$119.5K

How much do portfolio finance jobs pay per year?

As of Aug 9, 2026, the average yearly pay for portfolio finance in the United States is $87,666.00, according to ZipRecruiter salary data. Most workers in this role earn between $63,000.00 and $100,500.00 per year, depending on experience, location, and employer.

What is a portfolio finance?

A Portfolio Finance job involves managing the financial performance, budgeting, and reporting of a portfolio of investments, projects, or business units. Professionals in this role analyze financial data, track key metrics, and provide insights to support decision-making. They work closely with investment teams, CFOs, and other stakeholders to optimize returns and mitigate risks. This role requires strong financial modeling, forecasting, and strategic planning skills.

What are the typical career advancement opportunities for someone in a portfolio finance role?

Professionals in Portfolio Finance often have clear pathways for career growth, such as moving into senior analyst, portfolio manager, or finance director positions as they gain experience. Advancement typically depends on demonstrated success in managing portfolios, delivering analytical insights, and contributing to investment strategy. Many organizations also provide support for obtaining advanced certifications or furthering education, which can accelerate promotion prospects. Strong performance and leadership skills can open doors to more strategic or client-facing roles within financial services firms.

What are the key skills and qualifications needed to thrive in the portfolio finance position?

To thrive in Portfolio Finance, you need strong analytical abilities, financial modeling skills, and a background in finance, economics, or a related field. Familiarity with portfolio management software, advanced Excel functions, and certifications such as CFA or CPA are often required. Excellent communication, teamwork, and problem-solving abilities are highly valued. These competencies ensure that you can effectively evaluate investment opportunities, manage risk, and work collaboratively to support organizational financial goals.

Do portfolio finance analysts make good money?

Portfolio finance analysts typically earn competitive salaries that vary based on experience, location, and the size of the firm. Entry-level positions may start around industry average, while experienced analysts with certifications like CFA can earn higher compensation, including bonuses and incentives. The role often requires strong analytical skills and proficiency with financial modeling tools.
More about Portfolio Finance jobs
What states have the most Portfolio Finance jobs? States with the most job openings for Portfolio Finance jobs include:
Infographic showing various Portfolio Finance 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 $87,666 per year, or $42.1 per hour.

Vice President, Carlyle AlpInvest Finance & Operations

Carlyle

Manhattan, NY โ€ข On-site

$180 - $200/hr

Other

Medical, Life, Retirement, PTO

Re-posted 23 days ago


Job description

## Vice President, Carlyle AlpInvest Finance & OperationsApplylocations: New York, NYtime type: Full timeposted on: Posted 7 Days Agojob requisition id: R-00095**Position Summary**Carlyle AlpInvestโ€™s Finance & Operations team is seeking an experienced VP-level professional to support the Portfolio Finance business within AlpInvest.This Fund Management/Fund Controller role will work directly with investment professionals, Portfolio Management, Finance, Tax, Legal, and external parties to ensure AlpInvestโ€™s Portfolio Finance deals and funds are properly managed from funding to exit. The role will also partner closely with other members of the AlpInvest Operations team on daily operational functions across Primaries, Secondaries, and Co-Investment strategies. This position requires strong accounting and finance experience, working knowledge of the private credit industry, sound organizational and analytical skills, and the ability to build rapport with investors, third-party administrators, and various stakeholders across the firm. The individual will take full ownership of assigned responsibilities and support the development of junior team members. **In-Office Requirement:** 4 days per week**Primary Responsibilities****Fund Management / Operations*** Actively facilitate the deal close process for Portfolio Finance transactions, including liquidity analysis, due diligence, bank account setup, and other steps required in coordination with the deal team, legal, treasury, investor relations, and tax* Coordinate with investment team, legal/tax counsel, and middle office operations team to plan and execute fund and deal closings including legal entity structuring* Assist with the formation process for all new entities and prepare documentation needed for internal Legal Entity approval; coordinate establishment of tax documentation (W8, W9) for all entities* Coordinate liquidity management with the portfolio management and treasury team, including fund-specific liquidity forecasts, credit facility usage and repayment, capital calls, and distributions* Oversee borrowing/repayment requests and compliance reporting across multiple credit facilities* Support investment and trade capture and activity processing in systems of record* Monitor legal compliance with various fund agreements and side letter arrangements* Coordinate with Investor Relations on the closing of newly admitted LPs and assist with diligence requests* Review of revenue projection models and budgeting and re-forecasting files* Assist in budget and revenue forecasting for FP&A* Broadly support the team in building more efficient processes across functions and sufficiently documenting procedures and policies* Assist in strategic initiatives related to technology and process enhancements**Fund Accounting / Financial Reporting / Investor Reporting*** Review quarterly fund closes based on data received from the TPA, including review of related support for all balance sheet and income statement accounts* Review of accrued and realized carry calculations from the TPA* Review of capital allocations and capital statements prepared by TPA* Review of financial statements and related footnotes* Facilitate the preparation and review of investor communications including quarterly reporting, annual meeting materials, LPAC meeting materials, and marketing-related schedules and exhibits* Maintain fund gross and net models for all reporting needs, including fund performance summaries used by stakeholders across the firm* Coordinate interim and year-end audit requests and address questions from external auditors including coordination for SOX and SOC1 testing* Ad hoc investor requests for ongoing reporting as well as due diligence materials* Assist with SMA reporting requirements**Valuation*** Review and support the valuation team in the annual/quarterly valuation process, including maintaining joint venture model waterfalls* Responsible for preparation of valuation committee materials as well as approval by valuation committee* Assist with year-end audit with respect to valuation-related audit questions and requests**Management Company Reporting*** Coordinate corporate deliverables and disclosures for firmโ€™s public company reporting* Review monthly management fee, expense accruals, and quarterly budget analysis as it relates to respective funds* Manage the monthly working capital review and quarterly billing of expense reimbursements and management fees with Corporate Accounting**Tax Reporting*** Coordinate with in-house and external tax teams on annual review of tax workbooks detailing book to tax differences, tax returns, partner K-1s, and state and local tax allocations**Requirements****Education & Certificates*** Bachelorโ€™s degree, required* Concentration in Finance or Accounting, preferred* CPA preferred**Professional Experience*** 10+ years of overall relevant experience, required* Experience in Financial Services, preferred* Experience with Private Equity and Fund of Funds structures a plus* Experience working with third party administrators a plus* Experience with fund accounting and Investran a plus* Experience in alternatives; familiar with fund accounting/GP/LP structures* Knowledge of U.S. GAAP with an emphasis on accounting for both closed/open ended fund structures* Advanced skills with Microsoft Office suite**Benefits/Compensation** The compensation range for this role is specific to New York and takes into account a wide range of factors including but not limited to the skill sets required/preferred; prior experience and training; licenses and/or certifications. The anticipated base salary range for this role is $180,000 to $200,000. In addition to the base salary, the hired professional will enjoy a comprehensive benefits package spanning retirement benefits, health insurance, life insurance and disability, paid time off, paid holidays, family planning benefits and various wellness programs. Additionally, the hired professional may also be eligible to participate in an annual discretionary incentive program, the award of which will be dependent on various factors, including, without limitation, individual and organizational performance. Due to the high volume of candidates, please be advised that only candidates selected to interview will be contacted by Carlyle. #J-18808-Ljbffr