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Overview
Mid-Level

Portfolio Analyst, Tax Aware

Confirmed live in the last 24 hours

Man Group

Man Group

Compensation

$85,000 - $100,000/year

Boston; Massachusetts
On-site
Posted April 17, 2026

Job Description

About Man Group

Man Group is a global alternative investment management firm focused on pursuing outperformance for sophisticated clients via our Systematic, Discretionary and Solutions offerings. Powered by talent and advanced technology, our single and multi-manager investment strategies are underpinned by deep research and span public and private markets, across all major asset classes, with a significant focus on alternatives. Man Group takes a partnership approach to working with clients, establishing deep connections and creating tailored solutions to meet their investment goals and those of the millions of retirees and savers they represent.

Headquartered in London, we manage $227.6 billion* and operate across multiple offices globally. Man Group plc is listed on the London Stock Exchange under the ticker EMG.LN and is a constituent of the FTSE 250 Index. Further information can be found at www.man.com

* As at 31 December 2025

Purpose of the Role

The Portfolio Analyst role offers an exceptional opportunity to build foundational skills in portfolio management, investment analysis, and quantitative research as part of the Tax-Aware team. The successful candidate will work alongside experienced Portfolio Managers and Portfolio Analysts to support the implementation and monitoring of Man Systematics investment strategies. This involves assisting with the portfolio construction process, maintaining data integrity, and contributing to performance analytics. The Portfolio Analyst will gain exposure to portfolio risk monitoring, return attribution, and client reporting while developing the technical and analytical skills critical for a career in quantitative asset management.

Specific Responsibilities

  • Support the portfolio management team in the day-to-day implementation of investment strategies
    • Assist portfolio analysts with trade preparation, data validation, and rebalancing workflows
    • Monitor and flag portfolio exceptions or data discrepancies for review
  • Conduct quantitative analysis on portfolio performance, risk exposures, and factor attributions
  • Assist in the preparation of client materials, including performance commentary and market updates
  • Maintain and enhance internal tools, dashboards, and databases used by the team
  • Participate in research projects under the guidance of senior team members
  • Collaborate with the research group to test and validate model enhancements

Key Competencies

  • 0–2 years of experience in portfolio management, investment research, or a related quantitative field (internship experience considered)
  • A bachelor's degree in a quantitative discipline (e.g., Finance, Economics, Mathematics, Statistics, Engineering, Computer Science); a graduate degree is a plus
  • Foundational understanding of financial markets, portfolio construction, and risk concepts
  • Familiarity with accounting principles and financial statement analysis
  • Proficiency in Python, R, or other statistical/programming tools
  • Strong analytical and problem-solving skills with keen attention to detail
  • Effective written and verbal communication skills
  • Eagerness to learn and ability to thrive in a collaborative, team-oriented environment
  • Strong sense of integrity and work ethic

The anticipated based salary range for this position is listed below. Compensation packages would also include benefits and a discretionary bonus. This is the base salary range that the Company believes it will pay for this position at the time of this posting based on the location and requirements of the position as well as the skills, qualifications, and experience of the applicant.  The Firm reserv

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