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Arootah

Quantitative Researcher – Portfolio Management

Arootah

Systematic Fixed Income Portfolio Analyst at leading investment firm. Collaborating with experienced portfolio managers and researchers in a fast-paced analytical environment.

Posted 7/22/2026full-timeBoston • Massachusetts • 🇺🇸 United StatesJunior💰 $100,000 - $130,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates expertise in quantitative analysis, portfolio monitoring, and risk assessment, with a strong foundation in data analysis and investment strategy development. Proficient in developing analytical tools and collaborating with cross-functional teams to enhance reporting and workflow automation.

Highest-signal resume keywords
Quantitative AnalysisPortfolio AnalyticsRisk AnalysisData AnalysisFixed Income Products

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Statistical AnalysisData EngineeringMachine LearningPortfolio EvaluationPerformance Attribution
Soft Skills
CollaborationCommunication
Tools & Technologies
Analytical ToolsCloud Technologies
Industry Keywords
Investment ManagementFinancial TechnologySystematic Investment StrategiesMacroeconomic Analysis

Tech Stack

Tools & technologies
Cloud

About the role

Key responsibilities & impact
  • Support portfolio managers and investment teams through quantitative analysis, portfolio monitoring, and market research.
  • Develop and maintain analytical tools used for portfolio evaluation and risk assessment.
  • Analyze large datasets to identify trends, anomalies, and actionable investment insights.
  • Assist in the implementation and refinement of systematic investment approaches across fixed income markets.
  • Collaborate with technology and research teams to improve workflow automation and reporting capabilities.
  • Evaluate portfolio exposures and assist with performance attribution and risk analysis.
  • Produce reporting materials and investment analytics for internal stakeholders.
  • Contribute to ongoing research projects related to financial markets, portfolio construction, and investment strategy development.

Requirements

What you’ll need
  • Bachelor’s or Master’s degree in Mathematics, Statistics, Computer Science, Engineering, Economics, Finance, Physics, or another quantitative discipline.
  • 1–4 years of experience in portfolio analytics, quantitative research, investment management, risk analysis, or financial technology.
  • Familiarity with fixed income products, macroeconomic analysis, or systematic investment strategies is a plus.
  • Exposure to machine learning, cloud technologies, or data engineering tools is beneficial.

Benefits

Comp & perks
  • Medical, Dental, and Vision Insurance
  • 401(k) Retirement Plan
  • Paid Time Off and Holidays
  • Professional Development Opportunities
  • Performance-Based Incentive Compensation